an experienced ACCOUNTS CLERK (MEDICAL INDUSTRY) for a well-established concern, position aids.
Debt collection.
Statement management.
Salary package offered: - To be
marketing & sales departments. •Through the team, manage the interim and year-end inventory count and related banking details. •Manage the accuracy of the business unit's balance sheet; including managing balance sheet •Attend to adhoc and special requests from senior managers and executives. Attend to adhoc and special requests controls •Prepare the monthly reporting packages (Management Accounts/Board packs) for Company and address
service provider is looking for a Internal Audit Manager to join their team Internal Auditing Dealing with clients Banking & Financial Services Environment Managing a team of auditors 2 years min Internal Auditing Financial Services environment 2 years min in management level Qualified CA(SA) non-negotiable CIA or R600k – R850k per Annum The post Internal Audit Manager appeared first on freerecruit.co.za .
addressing or predicting clients objectives
are currently seeking a Trainee F&I Business Manager to join our dynamic team in the Pietermaritzburg Executives Submit applications to the banks Effectively manages the processing of finance applications and maximize
specialises in the private client market. Previous industry experience is essential - specifically experience
specialises in the private client market. Previous industry experience is essential - specifically experience retention. Assist Wealth Advisor in managing their workflow and follow-ups. Manage data collection. Collaborate Requirements: Matric Previous Wealth / Investment industry experience Suitable applications can be emailed
reside in the Durban area. Reporting to the Site Manager, the purpose of the Recruiter (TES) is to: Achieve
mpile and analyse financial statements
documents Compile and analyse financial statements Manage budgeting and forecasting Ensure General ledger Monitoring budget performance Risk management Balance sheet management Prepare all Nominal ledger/trial reconciliations monthly Prepare monthly management packs Effective utilization, management, and control of resources