positions and cash flows Forex Manage Forex risk and forex reporting. Review Forex Forecasts CAPEX &
for general finance support, including budgets, Forex, banking and cash management. Minimum Job Requirements: interest rate changes. Forex: Manage Forex risk and forex reporting. Review Forex forecasts. Debtors/Creditors:
Forex:
interest rate changes. Forex: Manage Forex risk and forex reporting. Review Forex Forecasts Debtors: Maintain
insurance with the required documents Forex payments Do Forex payments for suppliers and employees (FNB)
Pastel or relevant financial programs) VAT and Forex experience an advantage Contactable and reliable
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
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
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
in foreign creditors payments Understanding of forex and forward cover Knowledge of Syspro ERP R35K