purchasing of products according to mandate Continuous market and product research Product categorization Product Ability to work under pressure Orientation towards marketing and client service Team orientated Willing to
seeking a highly motivated and skilled Financial Analyst to join their Free State Regional Office team. team in identifying and recommending appropriate risk mitigation measures for portfolio companies Report Investment Associates Analyze, compile, and report on market information on a deal-by-deal basis Financial Modelling Qualifications: B.Com: Business Finance or Accounting Market Related
modelling. Financial forecasting, development including risk mitigation strategies identification. Perform liaison
organized to the point of perfection. Remuneration: Market related, dependent on experience and qualifications
team in issues that relate to finances, treasury, risk management as well as information technology. Financial of financial reporting, budgeting and forecasts. Risk management and internal control measures: Providing framework for risk management and internal control measures. Treasury and capital markets: Optimising our knowledge and experience in financial, purchasing and risk management. Afrikaans and English literate
line to ensure that the Group stays ahead of the market trends; considering different products, lead times solution in the rural areas of South Africa. In-depth market analysis with regards to trends, products and margins orders, possible deviations and strains within the market) Manage monthly product performance indicators purchasing of products according to mandate. Continuous market and product research. Product categorization and Relevant Degree/ Qualification in Marketing/ Economics/ Internation Trade/ Risk Management/ Supply Chain (or
line to ensure that the Group stays ahead of the market trends; considering different products, lead times solution in the rural areas of South Africa. In-depth market analysis with regards to trends, products and margins orders, possible deviations and strains within the market) Manage monthly product performance indicators purchasing of products according to mandate. Continuous market and product research. Product categorization and Relevant Degree/ Qualification in Marketing/ Economics/ Internation Trade/ Risk Management/ Supply Chain (or
personalized financial plans based on clients' goals, risk tolerance, and timelines. Provide expert advice principles, investment options, and the potential risks involved. Identify areas where clients can improve preference given BCom Accounting/ Marketing/ Business Management/ Finance/ Risk Management. Post Graduate Diploma
implementing financial controls to minimize business risk. Calculation of tax liability for Companies/Closed completed SAIPA articles. Salary is competitive and market-related, based on your skills and experience.
implement group policies and procedures Responsible for risk management Implement and drive continues improvement