the management and reconciliation of the of TMU Accounts) by ensuring that the daily, weekly and monthly reconciliation of Cash Cover, collateral, Call and Margin accounts; Ensuring attention to detail when screening of
the management and reconciliation of the of TMU Accounts) by ensuring that the daily, weekly and monthly reconciliation of Cash Cover, collateral, Call and Margin accounts; Ensuring attention to detail when screening of
return information obtained to the management accounts; analyze and review information to ensure accuracy Preferred Qualification: Qualified Chartered accountant (CA(SA)) Bachelor of Commerce: Financial Management
return information obtained to the management accounts; analyze and review information to ensure accuracy Preferred Qualification: Qualified Chartered accountant (CA(SA)) Bachelor of Commerce: Financial Management
insights into actionable and sustainable solutions. Accountable: Manage software across Software Asset Management the configuration management database (CMDB) Accountable: Software Compliance and Audit readiness Prepare for renewals, and license harvesting potential Accountable: Software Asset Management Inventory and Platform sustainable software asset management environment Accountable: Management Information Ensure compliance, accuracy related Reports / Dashboards and drive automation Accountable: Governance, Risk, Compliance Apply the group
insights into actionable and sustainable solutions. Accountable: Manage software across Software Asset Management the configuration management database (CMDB) Accountable: Software Compliance and Audit readiness Prepare for renewals, and license harvesting potential Accountable: Software Asset Management Inventory and Platform sustainable software asset management environment Accountable: Management Information Ensure compliance, accuracy related Reports / Dashboards and drive automation Accountable: Governance, Risk, Compliance Apply the group