BEEE audit Reviewing motor vehicle claims submitted to insurance Reviewing annual motor vehicle license members of the finance team, external auditors, insurance company and banks Statistic South Africa questionnaire
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queries, preparing R&D tax credit and patent box claims, and providing accurate information to clients responsible for: Preparing R&D reports and tax relief claims for submission to HMRC including report writing Submitting online to HMRC and subsequently monitoring claim progresses. Communicating effectively with colleagues HM Revenue & Customs. Preparing patent box claims. Undertaking ad hoc projects and other duties as
queries, preparing R&D tax credit and patent box claims, and providing accurate information to clients responsible for: Preparing R&D reports and tax relief claims for submission to HMRC including report writing Submitting online to HMRC and subsequently monitoring claim progresses. Communicating effectively with colleagues HM Revenue & Customs. Preparing patent box claims. Undertaking ad hoc projects and other duties as
Scrutinize instances of cash withdrawals and expense claims to ensure they are legitimate and comply with company to ensure accuracy and accountability in cash handling processes Audit the processes involved in transferring
Scrutinize instances of cash withdrawals and expense claims to ensure they are legitimate and comply with company to ensure accuracy and accountability in cash handling processes Audit the processes involved in transferring
working for an industry leading supplier of Life Insurance products, to be based in Stellenbosch, Western articles experience in Life Insurance industry; or 5 years in Insurance. Team player with strong ERP
ocess Optimization: Analyze and optimize cash handling processes to improve efficiency, reduce costs maintenance of banking systems related to cash handling, ensuring they are functioning optimally and meeting implement risk management strategies to safeguard cash handling operations against internal and external risks documentation for bank staff on efficient cash handling practices and system usage.
Manage reverse logistics costs, stock claims and customer claims. 3. Customer / Partner (Distributor) sure it's aligned with customer pricing and limit claims and order rejections. Work with Financial Managers