distribute payslips on a weekly/monthly basis. Leave Management: Capture leave forms and conduct leave audits audits. Project Participation: Participate and/or manage any project that is initiated in SSC, providing team
the effectiveness of internal controls, risk management practices, and governance processes. Identify Identify and communicate audit findings to management and provide practical recommendations for improvement
findings, technical issues, and recommendations to management. Collaborate with IT teams and stakeholders to Strong understanding of IT governance, risk management, and compliance frameworks (e.g., COBIT, NIST
accordingly. Train employees on compliance and risk management issues. Investigate compliance breaches and recommend regulations. Requirements: Bachelor's degree in Risk Management, Law, Finance, or a related field (Master's degree
accordingly. Train employees on compliance and risk management issues. Investigate compliance breaches and recommend regulations. Requirements: Bachelor's degree in Risk Management, Law, Finance, or a related field (Master's degree
The accountant's main responsibilities are to manage and coordinate journal and intercompany team functions the productivity and working hours of the team. Manage controllers' leave based on operational requirements
The accountant's main responsibilities are to manage and coordinate journal and intercompany team functions the productivity and working hours of the team. Manage controllers' leave based on operational requirements
standards of internal control in the disbursements management process. Other duties include, but are not limited disbursement reports Provide analytical and data management support for group disbursement Prepare and monitor
standards of internal control in the disbursements management process. Other duties include, but are not limited disbursement reports Provide analytical and data management support for group disbursement Prepare and monitor
will include, but not be limited to: Daily cash management Compile monthly accounting records Prepare month-end month-end reconciliations Debtors and Creditors management Generate finance reports Assist with audit queries