Wadzanayi Pamela N.
Maths Teacher, Key Stage 3 Coordinator at COPTHALL SCHOOL- Claim this Profile
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Bio
Experience
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COPTHALL SCHOOL
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United Kingdom
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Education Administration Programs
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1 - 100 Employee
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Maths Teacher, Key Stage 3 Coordinator
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Apr 2023 - Present
Mill Hill
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The Maplesden Noakes School
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United Kingdom
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Primary and Secondary Education
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1 - 100 Employee
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Mathematics Teacher
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Sep 2019 - Jul 2023
Maidstone, England, United Kingdom
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Mathematics Teacher
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Sep 2018 - Sep 2019
Christ Church University, Kent
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Business and Economics Teacher
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Sep 2017 - Mar 2018
Islington Having started my career in banking and accounting, I used my transferable skills in a fulfilling teaching career on the Teach First Leadership Development Programme. Having gained industry skills such as communication, analysis, team working and leadership, I brought my teaching to life in the classroom. I am resilient, cheerful and enthusiastic and inspire my pupils in the subject of Business.
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Loxford School of Science & Technology
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Education Administration Programs
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1 - 100 Employee
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Learning Support Assistant (SEND)
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Dec 2016 - Jun 2017
Ilford, United Kingdom I worked with pupils with Special Educational Needs from Year 7 to Year 12 with both learning and/or mobility difficulties. I also taught Maths to Year 10 as an intervention class to help boost their numeracy skills.
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THE WARREN SCHOOL
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Artists and Writers
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1 - 100 Employee
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English Teacher
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Sep 2016 - Nov 2016
Chadwell Heath
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DWF
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United Kingdom
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Law Practice
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700 & Above Employee
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Billing Administrator
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Nov 2015 - Jun 2016
Manchester, United Kingdom
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BNY Mellon
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United States
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Financial Services
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700 & Above Employee
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Fund Administrator
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Jun 2013 - Jun 2015
Manchester, United Kingdom The Team supports the Net Asset Value (NAV) production teams by producing cash and asset reconciliations, performing all related functions and completing full, accurate and thorough investigation and follow up of all reconciliation items. RESPONSIBILITIES: • Completed accurate and timely cash and asset reconciliations for assigned funds within agreed deliverables. • Reconciled cash and asset balances correctly between the Accounting and Custody platform. • Ensured all… Show more The Team supports the Net Asset Value (NAV) production teams by producing cash and asset reconciliations, performing all related functions and completing full, accurate and thorough investigation and follow up of all reconciliation items. RESPONSIBILITIES: • Completed accurate and timely cash and asset reconciliations for assigned funds within agreed deliverables. • Reconciled cash and asset balances correctly between the Accounting and Custody platform. • Ensured all reconciliation items were identified and investigated fully, clearly narrated and all backup for such was included in the reconciliation pack. • Investigated and followed up on all aged and material cash and asset items within agreed timeframes and per agreed procedures. Effectively escalated aged and material positions to management and other appropriate parties. • Provided timely and accurate responses to all queries from valuations and other internal departments and clients I worked well under pressure and consistently met tight deadlines. I proactively managed and organised my workflow on a daily basis, working accurately and having attention to detail. I built and fostered good working relationships with other internal departments and external parties as was appropriate.
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Accountant, Investment Reporting Specialist
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Jul 2010 - Jun 2013
Manchester, United Kingdom In this role I produced a range of investment accounting reporting packages for external clients within Institutional Accounting Manchester, primarily on a monthly basis. This entailed the validation of positions, prices, income and transactions between the records of BNY Mellon and Investment Managers of the Bank’s clients. Investment Accounting Services (IAS) is similar to fund accounting, but works with a more varied international client base, including central banks, pension funds… Show more In this role I produced a range of investment accounting reporting packages for external clients within Institutional Accounting Manchester, primarily on a monthly basis. This entailed the validation of positions, prices, income and transactions between the records of BNY Mellon and Investment Managers of the Bank’s clients. Investment Accounting Services (IAS) is similar to fund accounting, but works with a more varied international client base, including central banks, pension funds, common investment funds, insurance companies, investment managers, corporates and government agencies. RESPONSIBILITIES: • I produced timely (all internal and external deadlines meet within control) and accurate investment portfolios, reconciling fund manager valuations as they came in. • Ensured that Client expectations were fully managed and either met or exceeded in relation to resolution of queries. • Ensured that I understood business practices and controls for all clients including those that deviated from the standard service offering • Developed my own knowledge, to include the operational procedures within the department and those of our internal stakeholders. • Developed financial products knowledge in order to ensure the team and departmental procedures reflected current market developments and client requirements. Meeting internal deadlines was crucial for this role. By maintaining good communication with my team leader and other team members I helped to ensure that investment accounting issues were addressed without impact on delivery. I was also able to assist in transformation projects and make suggestions for improvements to the production process.
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Acas
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United Kingdom
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Government Relations Services
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500 - 600 Employee
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Marketing Administrator
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Jul 2009 - Jul 2010
Manchester, United Kingdom In this administrative role, I acted as the main support for the Trainers at ACAS who delivered training courses to company personnel.
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JPMorgan Chase & Co.
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United States
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Financial Services
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700 & Above Employee
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Internship
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Jul 2007 - Sep 2008
London, United Kingdom I was responsible for the Credit Hybrids Environment Generation. This role required interaction with the trading desk throughout the day, to ensure timely and accurate creation and delivery of the environment files (including credit spreads, index basis and interest rates). The Credit Hybrids department was a significant revenue centre and handled some of the most complex trades which therefore meant that my role was crucial to the success of this company.
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Education
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Alliance Manchester Business School
Master’s Degree, MBus Global Business Analysis -
The University of Manchester
Bachelor’s Degree, BA (Hons) Accounting with Business Information Systems -
Dominican Convent, Harare