primarily focus on processing financial transactions, managing accounts payable and receivable, preparing
month variance reporting. • Intercompany transaction management, including maintaining and issuing intercompany
month variance reporting. • Intercompany transaction management, including maintaining and issuing intercompany
t/ Garage cards capture and reconcile transactions, management of limits and cancellations
financial records, including recording all transactions, managing accounts payable and receivable, and reconciling
quotes, maturity management, swap transactions, facility management Oversee capturing of spot contracts elements linked to FX liquidity or transactions To drive and manage enhancements in the FX product portfolio
with SARS Update bank accounts and process transactions Manage debtors/creditors: Be responsible for loan
quotes, maturity management, swap transactions, facility management Oversee capturing of spot contracts elements linked to FX liquidity or transactions To drive and manage enhancements in the FX product portfolio
financial records, including recording all transactions, managing accounts payable and receivable, and reconciling
administrative support as required Handle petty cash transactions Manage accounts payable, ensuring timely processing