● Identify potential clients, and the decision makers within the client organization. ● Work with the the client’s needs, concerns, and objectives. ● Load all new account applications and ensure the client solution/service – ensure any special conditions and rates are loaded against the account and inform all relevant departments
managers, custodians and brokers as required Accurate loading of daily and cashflow unit prices Submission of
custodians and brokers as required
client-relevant topics (e.g., security of supply, load shedding, droughts, new technologies, ESG/CSR/Carbon/funding