Attention all back-office rockstars! Our client in the telecommunications industry is looking for a back-office operations management team. The role involves providing comprehensive back-office support, managing coordination accounting, financial, purchasing or project management role advantageous
required:
for a Treasury Analyst to join their team. The Treasury Analyst will support the Corporate Treasury team Skills/Experience required: 3-5 years' experience within treasury and accounts payable Experience working on Oracle relationships with treasury service providers and internal stakeholders. Assess and integrate new treasury services implementation of treasury services and or transactions. Support the execution of treasury activities inline inline with that of treasury and cash management policies and procedures, ensuring compliance with the
of professional development. We are seeking a Treasury Analyst that will be involved in various operational responsible to assist with cashflow forecasts, management of cash operations and the tracking of the organisation's look at all the banking processes, relationship management and acts as cross functional support. B Com Finance Minimum of 3- 6 years years experience within a treasury function Experience working in a global organization
Reference: NFC022016-Sel-1 Calling all Treasury Risk and Banking Coordinators If you are excellent with successful candidate will play a crucial role in managing and mitigating financial risks, optimizing our relationships, and ensuring the efficient operation of our treasury functions. This is your opportunity for competitive career growth. Duties: Ensure compliance with Treasury policies Assist with internal and external audit
successful candidate will play a crucial role in managing and mitigating financial risks, optimizing our
relationships, and ensuring the efficient operation of our treasury functions. This is your opportunity for competitive
Our client is on the hunt for a Treasury Analyst who will be the financial steward of their operations a golden opportunity to play a pivotal role in managing cash flows, forecasting, and strengthening banking Activities: Take charge of cash operations and manage cutting-edge Oracle-based payment systems. Cash promptness. Relationship Management: Forge and fortify alliances with both treasury service providers and champions. Innovation in Treasury Services: Scout and integrate new treasury solutions to align with evolving
Responsible for South African Treasury activities including daily receipting, transfers between bookings receipting queries, cash collection procedures, and managing bookings in terms of the company's standard terms Performing reconciliations of suspense accounts and managing PROMOS. Preparing bookings for each departure additional information for refund payments to banks and treasury as required Preparing confirmation of payment response for information requests from Head Office Treasury with 24 hour-turn-around time Accept cash payments
Monthly Stats preparation Cash Monitor, staff management, Queries authorisations, Monthly Fees Submission and gets it sorted · Escalate non-response to manager · Assist with bank queries · Highlight areas of and recorded on the IT sheet · Preparing the Post Office Stats for Exco · Ensuring the Cash monitor Dashboard Monitor Testing (for new enhancements) Staff Management · Retain key personnel and promote High Achievers Consistent feedback and communication to team members · Manage attendance of staff consistently and address were
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