Maintaining sufficient FEC contracts for foreign liabilities Reconciliation of “Goods in” transactions (Goods invoiced/paid) Revaluation of foreign exchange liabilities Maintenance of Fixed asset registers for various
supplier invoices Handling all supplier RFC’s & Claims Handling all Buyout orders Assisting with customer
death, disability, divorce order and maintenance claims as required. Processing of retirement, pre-retirement Suppliers regarding transfers, withdrawals and claims from Retirement and Living Annuity Products within
related tax matters ● Assist in managing retailer claims process flow ● Managing ad hoc process changes
event operations. In-office Responsibilities: Investigate, source, and maintain new and existing work. budgets and plan operations for upcoming events. Investigate and source new opportunities while maintaining
responsibility and you will be held liable for any claims on No pod queries. No stock transfers between customer
agent to ensure that all issues are thoroughly investigated, and that the client is always kept in the loop