receipting, transfers between bookings, allocations and assist with customer receipting queries, cash collection Providing refund payment breakdowns / remittances o Assisting with refund queries o Verifying refund queries for auditors for exchange control requirements o Assist with exchange control related queries • Prepare communication of bookings to be reinstated • Assisting Treasury and Finance department with ad hoc tasks
and effectively at month-end or when requested. Assisting with and resolving customer account queries. Completing