re-forecasts and annual budgets (to be confirmed) Cash flow management including preparation /review monthly
re-forecasts and annual budgets (to be confirmed) Cash flow management including preparation /review monthly
for trade settlement and confirmation activities within Balance Sheet Management. You will assist front
for trade settlement and confirmation activities within Balance Sheet Management. You will assist front
for trade settlement and confirmation activities within Balance Sheet Management. You will assist front
confirmations, and loan confirmations. Review VAT entries before submission to the Financial Manager. Assist in thorough
confirmations, and loan confirmations. Review VAT entries before submission to the Financial Manager. Assist in thorough
good quality audit reports
To confirm findings with management and developing practical, relevant
credit notes
Confirm ad-hoc promotion claims with the relevant sales account manager
Complete credit
confirmations, and loan confirmations. Review VAT entries before submission to the Financial Manager. Assist in thorough