Responsibilities:
reconciliations (suppliers, debtors, cashbook, inter-company) Forex (limited) Manage and forecast cash flow Preparation
reconciliations (suppliers, debtors, cashbook, inter-company) Forex (limited) Manage and forecast cash flow Preparation
Budgets Forecasts Governance Compliance Procurement Forex Variance analysis VAT Tax APPLY NOW If you are interested
Budgets Forecasts Governance Compliance Procurement Forex Variance analysis VAT Tax APPLY NOW If you are interested
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
Manages Purchase Orders by:
Administering forex and hedging exposure.
Resolving issues with
capital markets with product knowledge of equities, forex, fixed income, and commodities as well as derivatives
and closing accounts, dealing with credit cards, forex payments and other banking requirements. Also involves