The Rolea) Dispensing and counseling of controlled medications (Poison B and C)b) Counselling and sales of Healthcare related categories which includes OTC, Health supplements & General Nutritionc) Provide Health checks eg. Blood glucose, Blood pressure checks and BMI measurements, etc and participate actively in any Health events organized by the companyd) Conduct training to store Team members to increase the knowledge of Health categoriesf) Monitor expiry dates of stocks in Health categories and other categories to minimize the risk of sales and to minimize write-offs or returnsg) Be involved in other activities eg Health Talks, Health events, pharmacy students’ attachment when required.h) As a healthcare provider in a community setting in health prevention and health promotion activities.Operationsa) Ordering of stocks for Poisons, Prescriptions and Health-related categories and maintaining a healthy level of stocks ( achieve a low Out- of -stock situation)b) Maintenance of Planograms, stock displays, housekeeping of Health categories and other categories where necessaryc) Recording and filing of prescriptions in accordance with the Poisons Act 1952d) Assist with opening and closing of the store and work together with Team members with any other administrative work related to the daily running of the storee) Participate in promotions by ensuring proper set up of stocks, POSMs and correct pricings Ensure sufficient stocks displayed at OSDs, PGEs
Manage engagements by defining the audit strategy in consultation with the senior manager/partner, and execute it in compliance with Ernst & Young's policies and protocols
Execute complex audit procedures and lead teams, or parts of teams on engagements, depending on the size of the engagement
Actively establish, maintain and strengthen internal and external relationships and confirm that work delivered to clients is a high quality
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Contribute technical insights to audit client engagements and internal projects
Actively establish, maintain and strengthen internal and external relationships, execute complex assurance procedures, supervise junior engagement team members and help define the audit strategy
Monitor the engagement team's progress against the plan and alter it when needed
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You’ll lead the successful delivery of Indirect Tax engagements in JB, taking a professional, practical and commercial approach and ensuring technical excellence
Identify opportunities in the market and lead on developing our commercial proposition to new and existing clients
Build and maintain tax relationships with our own clients
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Implement and execute the marketing strategic plan towards achieving marketing objectives and sales targets.
Liaise with relevant parties to ensure timely delivery of marketing collaterals e.g. traditional and digital advertisements, brochures, sales kits etc. Check and ensure all information provided/displayed in marketing collaterals is accurate.
Identify high growth and market opportunities and drive marketing priorities for the business unit and assess our capabilities (products, offerings, enablement, route-to-market).
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You'll contribute technical insights to business tax compliance engagements, prepare income tax returns for organisations in diverse and specialised industries, and prepare estimated tax liabilities to assist clients in meeting their tax payment obligations.
You'll make sure that the work we deliver is of high quality, uses our global compliance processes and tools, and is reviewed by the next-level reviewer.
Anticipate and identify risks and escalate issues as appropriate.
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You’ll act as the preferred advisor to multinational companies, addressing ad hoc transfer pricing queries
You’ll preparing transfer pricing policy, planning reports and documentation to substantiate transfer pricing position taken
You’ll assist with application for and negotiation of rulings and Advanced Pricing Agreements (APAs) where clients would like up-front certainty on transfer pricing positions
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The candidate is required to be involved in Fund Operations by manually setting up / initiating payment, cash management and remittance in the client’s online bank portal or payment platform by adhering to all implemented procedures and policies.
Assist and coordinate with client in their treasury bank account management and work closely with the both client and banks to manage end to end process of client bank account which includes bank opening, change of account signatories, I- banking users, bank KYC reviews, bank account closure and other bank related tasks assigned by the Manager/Team Lead.
Manage the client’s cash book updates, capital calls and any other tasks that is assigned by the Manager / Team Lead.
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Manage engagements by defining the audit strategy in consultation with the senior manager/partner, and execute it in compliance with Ernst & Young's policies and protocols
Execute complex audit procedures and lead teams, or parts of teams on engagements, depending on the size of the engagement
Actively establish, maintain and strengthen internal and external relationships and confirm that work delivered to clients is a high quality
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