understanding of JSE-listed companies and familiarity with offshore investment environments is essential. This role and/or Asset Allocation across both local and offshore markets.
producing timely and accurate financial statements for offshore/onshore trusts and companies. Accounts maintenance trial balance level as well as the preparation of offshore/onshore financial statements. Maintaining entity
documentation relating to administration of local and offshore investment instructions, including redemptions keeping /accounting diploma; unit trust/ local and offshore Investment/ life assurance/ will be an advantage
documentation relating to administration of local and offshore investment instructions, including redemptions keeping /accounting diploma; unit trust/ local and offshore Investment/ life assurance/ will be an advantage
schemes (including ETF’s, Retail Hedge Funds and offshore funds) performance, positioning and mandates
and producing accurate financial statements for offshore and local trusts and companies. You'll collaborate
Asset allocation experience in both local and offshore markets - Computer literacy - Growth and performance