of fees, assets under management and flows First level review of management and performance fee calculations submissions Review and approval of payments, journal entries and month-end reconciliations Requirements: Minimum verbal Problem solver who has an eye for detail Good levels of self-drive and curiosity Strong planning and
closely with clients, you will provide advice on investment opportunities, risk management, retirement planning knowledge of financial products, services, and investment strategies Excellent communication and interpersonal standards and a commitment to providing the highest level of service to clients Benefits: Our client is offering
reconciliations Submit EMP201 returns TAX Cash flow Cashbook entries & bank reconciliations Petty Cash administration
reconciliations Submit EMP201 returns TAX Cash flow Cashbook entries & bank reconciliations Petty Cash administration
financial ratio's, production metrics, and inventory levels and provide recommendations to improve financial Provide financial decision support for capital investments, including analysing project feasibility, developing developing finance models, and preparing investment proposals. Participation in the annual budgeting process
Process all bank statements, supplier and journal entries up to Trial balance Prepare monthly financial reports
Process all bank statements, supplier and journal entries up to Trial balance Prepare monthly financial reports
EXPERIENCE IN INVESTMENTS & CORPORATE FINANCE IS ESSENTIAL Define the structure and execution of or relevant post-graduate degree Min 7 yearrs investment and corporate finance experience Proficiency
GPA - 65% Strong client focus and interest in investments Proven leadership and problem-solving potential
Trust and any other such similar special purpose investment vehicles required by the group. Supporting the the Head of Finance and the Head of Corporate Investment Finance with corporate finance transactions,