allocations before submission to the Senior Finance Manager for sign off Verification of Payments ensure all submission to SARS by the due date Assist with cost management by preparing cost analysis reports as and when required Verify and ensure that petty cash is managed in compliance with SOP requirements Perform cash transactions are in accordance with accepted accounting practice Ensure that the organisation is SARS compliant Basic principles and practices of Accounting Excellent record keeping, record management techniques Ability
material. Manage risk by meeting technical, company standards, practices, and resource management (e.g. ultra a Client Services Consultant within the Asset Management industry. Experience with Investments/Pension Investments/Pension Funds/Retirement Fund in an Asset Management Business A sound technical understanding of Collective policies and procedures Customer relationship management Behavioural Competencies Building Customer Loyalty
material. Manage risk by meeting technical, company standards, practices, and resource management (e.g. ultra a Client Services Consultant within the Asset Management industry. Experience with Investments/Pension Investments/Pension Funds/Retirement Fund in an Asset Management Business A sound technical understanding of Collective policies and procedures Customer relationship management Behavioural Competencies Building Customer Loyalty
background in accounting or finance, coupled with practical experience in running an activity-based costing
background in accounting or finance, coupled with practical experience in running an activity-based costing
assist the Head: Trade Transaction Management Unit with the management and reconciliation of the of TMU requesting authorisation from management; Stakeholder relationship management Deliver in terms of agreed Group; Manage the operational relationship with the client and in need escalate to management for assitance; Daily, Weekly and Monthly Management Information to key stakeholders and Management Ongoing liaison with business
assist the Head: Trade Transaction Management Unit with the management and reconciliation of the of TMU requesting authorisation from management; Stakeholder relationship management Deliver in terms of agreed Group; Manage the operational relationship with the client and in need escalate to management for assitance; Daily, Weekly and Monthly Management Information to key stakeholders and Management Ongoing liaison with business
you'll work A trailblazer in the digital property management sector, prioritising customer-centric solutions position requires handling customer interactions, managing financial transactions, and leading the customer leadership skills, a deep understanding of financial management, and a commitment to fostering a culture of customer proficiency in dispute resolution and financial management Performance monitoring: oversee team performance contact for complex disputes Outstanding rental management: pursue outstanding rental payments using automation
Stock & Reconciliation Financial Manager to reconcile and manage financial risk relating to virtual
follows:
Exception management and resolution for daily reconciliations
Managing the accounting for
reconciliations
o Reconciling commissions
o Management of customer and supplier relations
Review
t verbal and written skills
Flexibility
Overview:
As an Audit Senior, you will manage, lead, and complete full audits from the planning establish strong relationships with them.