documents Liaising with the various teams at our banking partners to ensure SARS TCC’s and emigration processes experience at least 1 year within Fiduciary Services/ banking/ Exchange Control department Extremely comfortable company incentive structure. The package includes a standard Medical Aid contribution and Death and Disability
Weekly Cash-flow management. - Multiple entities Bank Accounts, Credit cards reconciliation on Xero. - understanding of International Financial Reporting Standards (IFRS). - Good understanding of Vat and the impact
Authorise and release disbursements via the online banking system. Handle processing of Reinsurance Treaty Maintain cashbooks and perform bank reconciliations for Premium and Claim Bank Accounts. Calculate monthly
implementing agreed company deliverables. Support the Head of departments and team members in the resolution
Duties & Responsibilities: - Reconciliation of Bank Accounts - Prepare and maintain financial reports
REQUIREMENTS: Extensive experience working in CFO or FD/Head of Finance role in the property industry MDA is
Ensuring the quality of all dealer books is up to the standard required. Driving obtaining F&I’s more than ways to improve quality results by adhering to standards and guidelines and recommending improved processes