an LLB qualification? Do you have a passion for trade export and insurance? If so, we have an exciting exciting opportunity for you Our client is a leading trade export insurance firm dedicated to providing comprehensive businesses navigating the complexities of international trade. Their mission is to empower businesses with the
an LLB qualification? Do you have a passion for trade export and insurance? If so, we have an exciting exciting opportunity for you Our client is a leading trade export insurance firm dedicated to providing comprehensive businesses navigating the complexities of international trade. Their mission is to empower businesses with the
/>Asset pricing
Cash management
Investment trades
Stock and cash reconciliations
Financial
themselves on delivering innovative electrical products while maintaining a positive and collaborative
managing cash balances. Trade matching and execution -matching and settlement of trades with brokers and external
managing cash balances. Trade matching and execution -matching and settlement of trades with brokers and external
Dealing with trading and issuing of offshore investments dealing with the opening of forex trading bank accounts
Dealing with trading and issuing of offshore investments dealing with the opening of forex trading bank accounts
Update and align Store Master data with store trading status and utility information; Ensure that all Process all monthly rental payments across all trading divisions; Process all monthly payments for all store utility contracts and accounts across all trading divisions; Monitor and assess all unpaid utilities Update and align Store Master data with store trading status and utility information; Ensure that all control, tax, compliance, cash flow, audits, trading and non-trading accounts, asset management and reporting
Update and align Store Master data with store trading status and utility information; Ensure that all Process all monthly rental payments across all trading divisions; Process all monthly payments for all store utility contracts and accounts across all trading divisions; Monitor and assess all unpaid utilities Update and align Store Master data with store trading status and utility information; Ensure that all control, tax, compliance, cash flow, audits, trading and non-trading accounts, asset management and reporting