maintenance/ renewal / agri aspects of policies; Assisting to resolve all insurance queries within required underwriting criteria and regional requirements; Assist with profiling the client with the best suitable needs in terms of the correct cover and product; Assisting in implementing solutions for improvement; and during busy periods or absence of key resources, assisting where required. Matric / Grade 12 MUST have NQF4
maintenance/ renewal / agri aspects of policies; Assisting to resolve all insurance queries within required underwriting criteria and regional requirements; Assist with profiling the client with the best suitable needs in terms of the correct cover and product; Assisting in implementing solutions for improvement; and during busy periods or absence of key resources, assisting where required. Matric / Grade 12 MUST have NQF4
of financial accounting. Key performance areas · Assist with Creditor reconciliations · Prepare monthly register – to ensure validity and completeness · Assist in maintaining chart of accounts and monthly managment
of financial accounting. Key performance areas · Assist with Creditor reconciliations · Prepare monthly register – to ensure validity and completeness · Assist in maintaining chart of accounts and monthly managment
information. Assist with inter group companies accounting duties, mentor to bookkeepers and to assist with other
transactions, managing accounts payable and receivable. Assist clients with invoicing and supporting month-end enhancements within the accounting function and assist with the preparation of tax returns and annual
Job Requirements
will require working closely with stakeholders to assist in evaluating the performance of various products reporting Providing input into commercial meetings to assist in decision making processes Matric and thee year
Finance, BCom Accounting preferred. Job Requirements Assist with Creditor reconciliations Prepare monthly Accrual register – to ensure validity and completeness Assist in maintaining chart of accounts and monthly managment
transactions, managing accounts payable and receivable. Assist clients with invoicing and supporting month-end enhancements within the accounting function and assist with the preparation of tax returns and annual