in calculating exposure, trade size, margin, profit & loss on their trades Training and supporting supporting existing clients on Trading Platforms etc. Responsible for handling different campaigns queries; in in calculating exposure, trade size, margin, profit & loss on their trades. 2 years' experience within
industry Willing to work in office near Clear Water Mall
managed Accounting firm located close to the Somerset Mall is seeking to employ a SAIPA and SAICA Article Clerks
Analyse Estimate Reports – failure vs successes / trade lane review / mutual office benefits and leads Solutions driven (LCL vs FCL; Breakbulk vs RORO vs flat rack; Routings etc.) A University degree with exposure to fi
needs to have the following: CA (SA) (preferred) en-route to RA The successful candidate must be bilingual
execution of trades for our client's valued clients. You will work collaboratively with the trading team and smooth operation of their trading activities. Key Responsibilities: Trade Execution Management: Execute and reconciliation of daily trades. Maintain and manage the complete trading book, overseeing all related Communication with FX and Trade Partners: Engage in daily communication with FX and Trade partners to facilitate facilitate seamless trading operations. Client Allowance Management: Oversee and confirm client Allowance pins
execution of trades for our client's valued clients. You will work collaboratively with the trading team and smooth operation of their trading activities. Key Responsibilities: Trade Execution Management: Execute and reconciliation of daily trades. Maintain and manage the complete trading book, overseeing all related Communication with FX and Trade Partners: Engage in daily communication with FX and Trade partners to facilitate facilitate seamless trading operations. Client Allowance Management: Oversee and confirm client Allowance pins
day-to-day trading activities which includes proposing new trading strategies to align the trading activities purchasing and sales function/process within the Trading department by being actively present in the market product, and derivatives trades, ensuring a positive contribution for trading deal outcomes including reduction of feedstock costs. Negotiate and execute trading deals with suppliers and third parties, evaluate function/process together with the Trading Manager and Risk Manager by ensuring trade reconciliation and broker
day-to-day trading activities which includes proposing new trading strategies to align the trading activities purchasing and sales function/process within the Trading department by being actively present in the market product, and derivatives trades, ensuring a positive contribution for trading deal outcomes including reduction of feedstock costs. Negotiate and execute trading deals with suppliers and third parties, evaluate function/process together with the Trading Manager and Risk Manager by ensuring trade reconciliation and broker
plant management Logistics: Analyse costs and routing for large fleet Finance: Forex, cash flow and budget