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product lines, e.g.: fixed income, equity, foreign exchange, institutional funds, etc
managing SARS refunds, maintaining expertise in foreign exchange, handling group transactions, and conducting
liquidity, capital, asset/liability management, foreign exchange, cash management & treasury operations
marketing, innovation and pricing.
new corporate customers for loans, deposits, foreign exchange business, trade finance according to the banks
reconciliations.
specifically financial controls. Managing foreign exchange risk: Overseeing creditors and bank teams:
cultural levels; Have exposure to Foreign Purchases and Forward Exchange Contracts; Have proven Leadership
cultural levels; Have exposure to Foreign Purchases and Forward Exchange Contracts; Have proven Leadership