schedules. Banking: Manage banking systems. Approve all new creditors (local and foreign). Release weekly weekly bank transfers (creditors and wages). Cash Management: Source financing to meet budgeted cash flow Manage the purchase Foreign Exchange Contracts. Review Forex forecasts. Authorise foreign payments. Costing:
experience. Key Performance Areas: Perform bank reconciliations. Import bank statements and ensure accurate posting
and reports. Credit control (debtors collection). Bank statement reconciliations. Update tender schedules
continuous improvement initiatives. Creditors, Banking and Cash Management: Verify weekly transfer (creditor exception reports and payment. Approve payment on the banking system. Debtors: Maintain and update the tolling
accounts. Reconcile accounts and follow up on short banking Resolve claims, POD's and queries. Prepare payments