Treasury and Trading Manager, you will be responsible for overseeing all Treasury and Trading related activities trong>
client based in Somerset West is looking for a Trade Accountant to join their well-established, trusted trusted, and highly successful corporate commodity trading company to provide support in handling various special projects as needed. Prepare reporting for trading desk. Ability to understand business and operate/maintain
market trends and perform risk analysis to support trading decisions Monitor and manage existing derivative sales team to ensure smooth execution of client trades Stay updated with market developments and industry derivative products and strategies Maintain accurate trading records and prepare reports as required Requirements:
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
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
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