Provides financial information to management by researching and analyzing accounting data and preparing reports. Prepares asset, liability, and capital account entries by compiling and analyzing account information. Documents financial transactions by entering account information. Assist with inter
Monitoring of cash flows from different cost centres to inform better investment strategies. Stakeholder Manage the overall performance of all PPO cost centres, management of risks, and financial reports. Professional
Monitoring of cash flows from different cost centres to inform better investment strategies. Stakeholder Manage the overall performance of all PPO cost centres, management of risks, and financial reports. Professional
that is experienced in working in a Shared Service Centre on multiple companies. Applicant should be able
that is experienced in working in a Shared Service Centre on multiple companies. Applicant should be able
Daily reconciliation of Cash Cover, collateral, Call and Margin accounts; Ensuring attention to detail
Daily reconciliation of Cash Cover, collateral, Call and Margin accounts; Ensuring attention to detail
General
? Contract Duration: 5 years
? Centre: Head Office, East London
? Salary: Level:
Daily reconciliation of Cash Cover, collateral, Call and Margin accounts
Daily reconciliation of Cash Cover, collateral, Call and Margin accounts Ensuring attention to detail