statements Capturing and reconciling cashbooks Calculate forex and commission Assist the Accounts Payable/Receivable statements Capturing and reconciling cashbooks Calculate forex and commission Assist the Accounts Payable/Receivable
and creditor reconciliations; understanding of forex; Raising of purchase orders; Intermediate excel
currency transactions, ensuring accurate and timely forex exposure management for international clients.
transactions and ensure adherence to IFRS and group forex policy
industry. minimum 1 year's experience working with forex. Knowledge of analyzing financial data and assessing
reconciliation experience.
the cashbooks on a weekly basis
assets, general ledger, company taxation, cash flow, forex and insurance Review and submission of Monthly flash
with any additional queries.
- Month end Forex Revaluation journal preparation (Bank, Accounts
Sales, Expenses and Fixed assets Understanding of Forex, international shipping terms and regulations Self-starter Sales, Expenses and Fixed assets Understanding of Forex, international shipping terms and regulations Self-starter