payments on Banking system Reconciliations as needed Processing into the accounting system Debtors Obtaining Reconciliations Processing into the accounting system CASH BOOKS Processing of all cash book entries Developing a PnL system per trade SAFEX All SAFEX accounts are processed daily on system Margins checked
companies or clearing houses are not suitable Administration relating to contract execution of BULK products
companies or clearing houses are not suitable Administration relating to contract execution of BULK products