currency transactions, ensuring accurate and timely forex exposure management for international clients.
transactions and ensure adherence to IFRS and group forex policy
industry. minimum 1 year's experience working with forex. Knowledge of analyzing financial data and assessing
reconciliation experience.
(suppliers, debtors, cashbook, inter-company)
Preparation
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
assets, general ledger, company taxation, cash flow, forex and insurance Review and submission of Monthly flash
Sales, Expenses and Fixed assets Understanding of Forex, international shipping terms and regulations Self-starter Sales, Expenses and Fixed assets Understanding of Forex, international shipping terms and regulations Self-starter