reconciliations (suppliers, debtors, cashbook, inter-company) Forex (limited) Manage and forecast cash flow Preparation
diversification.
reporting Internal control Budgeting Consolidations Forex Annual Financial Statements Acquisition Education
reporting Internal control Budgeting Consolidations Forex Annual Financial Statements Acquisition Education
industry. minimum 1 year's experience working with forex. Knowledge of analyzing financial data and assessing
Identifying financial and contractual risks ie forex, hedging and performance guarantees. Formulating savings. Manages Purchase Orders by: Administering forex and hedging exposure. Resolving issues with suppliers
insurance, or diversification. Consolidations Forex Improving operating performance margins Statutory
insurance, or diversification. Consolidations Forex Improving operating performance margins Statutory
calculating of contract price escalations / adjustments / FOREX Update invoicing and payment template Check and
of the contract price escalation/adjustment and Forex if any) and payment template. Please apply online