excellent customer service and identifying opportunities. Understand client needs and provide solutions forecasts to internal stakeholders. Identify opportunities for account expansion and revenue growth. Achieving
To provide support to the Legal Claims Department; regarding the processing of High Risk claims. To quickly resolve claims. Providing guidance to junior staff members where required. To work high risk/overdue claims of other's portfolio where required. To manage a high-risk claims portfolio To ensur
Are you ready to take the helm in credit and market risk monitoring at a premier organisation? We are professional to lead, direct, and manage the Credit and Market Risk Monitoring function. Key Responsibilities: and manage market risk effectively. - Formulate and enforce policies and strategies for market risk management Treasury Risk and the credit risk of market counterparties. - Oversee market risk reporting and ensure independent At least 8 years of experience in the Credit and Market Risk Monitoring environment. EE Disclaimer: All
prepare new client reviews and proposals, monitor cash flow forecasting and monitor client portfolios on to Portfolio Managers. You also need to have a completed Bachelor of Commerce in business/economics/investments and ideally an Honours. You also need to have completed CFA level 1. You need to be fluent in English What you'll get You'll get a market related salary as well as an opportunity to join a well established
awareness. Risk Reporting - Complete EXCO reports on time and accurately. - Complete risk and board reports
This is a unique opportunity for young Corporate Finance Professionals, looking to build a career in Analyst, with exciting growth and development opportunities for the successful candidate. Under the Management by providing researching the South African equity market, identifying client opportunities, and delivering execute analyses and identify meaningful trends, opportunities, and communicate the results to senior management financial modelling for transaction execution, researching, analysing investment proposals/pitches to clients
JOB DESCRIPTION
that monthly general ledger reconciliations are completed and reconciling items resolved. Monthly close-off statutory financial close-off across the Group. Completion of the required monthly, interim and year end generally. Compiling monthly reports ensuring completeness, accuracy, alignment with strategy and overall Statements Cash flow management and optimization across the Group Continuously look for opportunities to improve in Excel) SAGE Experience would be advantageous Market Related
team as well as forecasting of accounts payable cash flows. Main Duties and Responsibilities: Ensure calculations and journals. Facilitate correct and timely cash flow forecasts weekly and monthly. Ensure proper as annual BBBEE Verification audits. Oversee the cash book function. Conduct monthly reconciliations of oversee staff involved in the accounts payable and cash book function. Direct assigned tasks and provide provide assistance and mentoring as needed. Interview prospective candidates and choose the best applicant
team as well as forecasting of accounts payable cash flows. Main Duties and Responsibilities: Ensure calculations and journals. Facilitate correct and timely cash flow forecasts weekly and monthly. Ensure proper as annual BBBEE Verification audits. Oversee the cash book function. Conduct monthly reconciliations of oversee staff involved in the accounts payable and cash book function. Direct assigned tasks and provide provide assistance and mentoring as needed. Interview prospective candidates and choose the best applicant