Prepare and deliver monthly management accounts (entity and product level) for both local reporting and group consolidation
Build and maintain strong relationships with the Actuarial team to develop a deep understanding of the cost allocation model, including key inputs and drivers
Ensure accurate and timely submission of finance inputs for cost allocations, including monthly actuals, budgets, and forecasts
Oversee the preparation and submission of VAT returns to SARS
Prepare tax calculations for the five funds, liaising with external auditors and independent reviewers
Provide clear, insightful commentary on variances, business performance, and emerging risks
Present financial results in a concise, clear, and decision-focused manner, including reporting to relevant management committees and contributing to executive financial reports