similar degree to join our Financial Operations Trade FinOps team. The purpose of this role will be to disinvestment instructions to external managers; Accurate trading via the applicable online platform; Reconciliation
from institutional clients via Finswitch Execute trades across a range of asset classes on behlaf of retail asset classes, Equities, Exchange Traded Funds (ETF) Exchange Traded Notes (ETNs), Foreign Exchange (Forex) Multi Asset Class Trading expereience Experience in using various systems in trading environment e.g.
My client in the Pharmaceutical Industry is seeking an Accounts Payable Clerk with Syspro and Pharmaceutical industry experience. This is not negotiable Brief Job Description The successful incumbent will be required/ be responsible for: Minimum 80 Reconciliation to Statements Invoicing (Pastel &
from institutional clients via Finswitch Execute trades across a range of asset classes on behlaf of retail asset classes, Equities, Exchange Traded Funds (ETF) Exchange Traded Notes (ETNs), Foreign Exchange (Forex) Multi Asset Class Trading expereience Experience in using various systems in trading environment e.g.
similar degree to join our Financial Operations Trade FinOps team. The purpose of this role will be to disinvestment instructions to external managers; Accurate trading via the applicable online platform; Reconciliation
wide range of finance related tasks within the Trading team. Qualifications: BCom Accounting Skills: Advanced Sage Evolution Job description: Trade balancing, trading book vs trade balancing Purchase order booking booking, capturing of PO's and load in trading book GRV processing Capturing all deliveries, loading and managing payments Checking of sales orders according to trade documents Assist Financial Manger with month end
wide range of finance related tasks within the Trading team. Qualifications: BCom Accounting Skills: Advanced Sage Evolution Job description: Trade balancing, trading book vs trade balancing Purchase order booking booking, capturing of PO's and load in trading book GRV processing Capturing all deliveries, loading and managing payments Checking of sales orders according to trade documents Assist Financial Manger with month end
financial/commercial analysis and reporting, optimal trade spend management, effective business controls and of Gross Profit and all its components: Sales, Trading Terms, Promotional spend, Cost of Goods Sold. Ensure collection of outstanding Debts and processing of Trading term and promotional claims. Monitor and manage cost and list price per product from vendor and to trade. Automation and integration of data inputs/keys/drivers to come up with action plans to improve topline, trade spending efficiency and profitability. Perform ad
financial/commercial analysis and reporting, optimal trade spend management, effective business controls and of Gross Profit and all its components: Sales, Trading Terms, Promotional spend, Cost of Goods Sold. Ensure collection of outstanding Debts and processing of Trading term and promotional claims. Monitor and manage cost and list price per product from vendor and to trade. Automation and integration of data inputs/keys/drivers to come up with action plans to improve topline, trade spending efficiency and profitability. Perform ad
advantage. Servicing & Sales, International Trade principles & practice. Macro and Micro factors of revenue generating charges Company Standard trading conditions and liability limitations Terms of payment tools, INCOTERMS Carrier & depot conditions of trade. National currencies and international codes Computer