integration batches Maintenance of account codes, cost centers, and segments Processing of cash book entries and Fair assessment, only shortlisted candidates contacted due to volume. Privacy: Data processed as per integration batches Maintenance of account codes, cost centers, and segments Processing of cash book entries and
integration batches Maintenance of account codes, cost centers, and segments Processing of cash book entries and Fair assessment, only shortlisted candidates contacted due to volume. Privacy: Data processed as per integration batches Maintenance of account codes, cost centers, and segments Processing of cash book entries and
demonstrate a genuine interest in building their career centered around investments. Duties & Responsibilities:
demonstrate a genuine interest in building their career centered around investments. Duties & Responsibilities:
Respect, Accountability, Client-driven, People-centered) and strong Ethics
quality of underlying data.
(send to Xflow for approval and provide GL and Cost center allocation to BSC Team Porto). Assist with Vendor invoices are paid when required. Responsible to contact supplier during the month to obtain interim statements
operational expenses budget with relevant cost center budget owners. Business Case Assistance: Collaborate
operational expenses budget with relevant cost center budget owners. Business Case Assistance: Collaborate
operational expenses budget with relevant cost center budget owners.