the management and reconciliation of the of TMU Accounts) by ensuring that the daily, weekly and monthly reconciliation of Cash Cover, collateral, Call and Margin accounts; Ensuring attention to detail when screening of
the management and reconciliation of the of TMU Accounts) by ensuring that the daily, weekly and monthly reconciliation of Cash Cover, collateral, Call and Margin accounts; Ensuring attention to detail when screening of
Customer Training Stock Analysis Assisting with accounts General Housekeeping
Services knowledge including Back to Backs, Open Account Trade Finance, Risk Participation, Trade Loans
market recons Knowledge of trade services, open account, back to back, trade loans, exchange control and market recons Knowledge of trade services, open account, back to back, trade loans, exchange control and
market recons Knowledge of trade services, open account, back to back, trade loans, exchange control and market recons Knowledge of trade services, open account, back to back, trade loans, exchange control and
across all value chains and across the Group. Accountability: Process Optimisation and Design Conduct business processes within area of responsibility taking into account the Absa standards. Ensure that processes and procedures ensure alignment and integration of operations. Accountability: Business Analysing Perform business impact Absa supporting and training documentation. Accountability: Business Alignment & Subject Matter Expert
degree in Business Administration, Finance, Accounting, Information Systems, or a related field.
- Engineering Informatics Project Management Accounting and Finance Merchandising
Description Description: To actively own and be accountable for the overall evolution of multiple Technology