distinguished entity operating in the financial services sector, renowned for their comprehensive and innovative excellence and a commitment to delivering outstanding services to their customers. Our client is on the hunt hunt for a strategic and dynamic Human Capital Service Delivery Manager to spearhead their human capital human capital team. Design and maintain internal service-level agreements to bolster business partnerships
/Assistant Bookkeeper/Advanced Excel from Financial Services R18 - R21KCTC Parktown B Com Accts/similar, previous Excel – advanced High service orientation Understanding of company products, services and internal processes Excel – advanced High service orientation Understanding of company products, services and internal processes
distinguished entity operating in the financial services sector, renowned for their comprehensive and innovative excellence and a commitment to delivering outstanding services to their customers. Our client is on the hunt hunt for a strategic and dynamic Human Capital Service Delivery Manager to spearhead their human capital human capital team. Design and maintain internal service-level agreements to bolster business partnerships
an unwavering focus on delivering exceptional service, our client stands as a beacon of support for individuals general regulatory compliance within the financial services sector (home loans and other short-term unsecured
by the business. Provide Support Services To provide support services to all relevant stakeholders within
by the business. Provide Support Services To provide support services to all relevant stakeholders within
provide financial, administrative, and clerical services in the property sector. Accounts receivable duties generate response for payments Responsible for the correctness of the tenant and building information. Draw Manager to execute lockups Hand over to legal department if no response is received in discussion with with senior management Summons by the legal department Obtain ITC/TPN Reports Prepare required reports for debtors Reconcile accounts for correctness Audit accounts for correctness Prepare reconciliations for tenants
provide financial, administrative, and clerical services in the property sector. Accounts receivable duties generate response for payments Responsible for the correctness of the tenant and building information. Draw Manager to execute lockups Hand over to legal department if no response is received in discussion with with senior management Summons by the legal department Obtain ITC/TPN Reports Prepare required reports for debtors Reconcile accounts for correctness Audit accounts for correctness Prepare reconciliations for tenants
sellers, and outsourced service providers. Check, verify and ensure correctness of Trial balance/General balance/General ledger (journals, corrections, provisions, accruals), before month and year-ends. Preparation and Liaison/Correspondence with Senior Management, Business Unit Departments, Head Office, Internal and external auditors auditors, Debtors, Creditors, Outsourced service providers, Banks. Credit control, collection of outstanding regular internal audits of Finance and Other departments. Supervision of Stock-takes. Conduct asset verification
personal lines underwriting team to ensure high service levels and excellent turn-around times in accordance daily, weekly and or monthly basis in respect of service levels, quality of underwriting, internal processes staff retention, achieve desirable loss ratio's, corrective action and performance management and appraisals pertaining to all products within the personal lines department. This includes: Quotations processed for the covers on all sections within the personal lines department is competitive. Monitor, review and approve renewals