Analysis
Tax Compliance
Audit Preparation
Cash Management
Tenant Relations
Analysis
Tax Compliance
Audit Preparation
Cash Management
Tenant Relations
behalf of our client is recruiting for a Cyber Security and Identify and Access Management Consultant information systems and/or security desired (CISM, CISSP, CRISC, Cyber Security courses. Ethical Hacking) experience in IT security, Identity and Access Management (IAM), DLP experience, Cloud Security and Governance Desktop and DLP Proven experience as a Cyber Security Engineer with a focus on Symantec DLP solutions and Cloud assurance. Experience in security management, security and network architecture and/or design
basis. Stationery ordering/controlling. Assist with cash-up by scanning and emailing the banking, from previous petty cash disbursements and retain receipts and Reconcile petty cash. Send through petty cash claim
requirements
Prepare, monitor and capture cash movements (cash management), investment trades and update
/ NAV
Prepare and perform weekly / monthly cash and stock reconciliations, including proper investigation
pricing sources for corporate actions to ensure securities are updated and valued correctly on InvestOne
responsible for keeping our company's and clients' IT secure and compliant by ensuring the reliability and efficiency enabling code to be validated for quality and security and deployed continuously. Responsibilities: Develop Implement and manage security testing tools and processes, including static application security testing (SAST) (SAST), dynamic application security testing (DAST), and container security scanning. Provide guidance and software delivery while maintaining code quality and security. Build automated deployments through the use of
timeously
Issue and replenish petty cash and update the petty cash recon and adjustments to the general
orders
Update and maintain Foreign and Local Cash accounts and ensure customer payments are received
requirements. Cash management and payments: o Complete cash flow forecasts and compile cash flow reports
requirements. Cash management and payments: o Complete cash flow forecasts and compile cash flow reports
(POA)