finance team. · Review of monthly reconciliations · Treasury management · Month end process completion (including
reporting capability development Supporting Group Treasury in creating management information flows for cashflow
reporting capability development Supporting Group Treasury in creating management information flows for cashflow
finance team. Review monthly reconciliations. Treasury management. Month-end process completion (including
payments Provide cover for accounts payable or treasury when necessary At minimum, a Diploma in Accounting/Bookkeeping
banking relationships and work with Corporate Treasury & SGH. Simplification & Projects - Assist
corporate income tax for group companies. Support Treasury activities Administer all tax requirements/returns
corporate income tax for group companies Support Treasury activities Administer all tax requirements/returns