416481 - Insurance Policy Administrator / Broker's Assistant Employer Description A short term insurance brokerage client seeks an experienced insurance Broker's Assistant/Client Services Consultant/Insurance Policy Administrator
416481 - Insurance Policy Administrator / Broker's Assistant Employer Description A short term insurance brokerage client seeks an experienced insurance Broker's Assistant/Client Services Consultant/Insurance Policy Administrator
creditors accounts. Budget Preparation and Management: Assist the MD and play a key role on the senior management through cost analyses. Revenue: Assist in setting annual revenue budgets. Assist in preparing monthly revenue Remuneration and Payroll Preparation and Administration: Assist in timely calculations of commission, increases annual increases, overtime, commission, and bonuses. Assist in approving new employee remuneration packages
administration and financial assistance As a Sales Administrator and Financial Assistant, you will play a critical up on outstanding accounts. Financial Reporting: Assist in preparing financial reports, including profit experience in sales administration and financial assistance within the retail sector. Strong understanding
normal hours. Job Description Key performance areas: Assist with overall bookkeeping and administration of of project costs to actual expenditure incurred. Assist project teams with RFQs or Quotations to ensure ensure appropriate pricing and commercial terms. Assist project teams outside normal office hours with cash
receivables, and general ledger entries. Responsibilities Assist with processing of accounts payable and accounts records, ensuring they are up-to-date and accurate. Assist with month-end closing activities, including reconciliations experience as a Financial Administrator, Finance Assistant, or similar role. Solid understanding of basic
up on outstanding accounts. Financial Reporting: Assist in preparing financial reports, including profit
up on outstanding accounts. Financial Reporting: Assist in preparing financial reports, including profit
self-audits on the master payroll schedule and assist with Bank Control Account reconciliations Monitoring
self-audits on the master payroll schedule and assist with Bank Control Account reconciliations Monitoring