You will be part of the team that oversees back office operations and provides support for trade settlement Management. You will assist front office trading by managing trades, cash flows, and instruments on the Murex duties include: Confirm all new and existing Front Office trades and cashflow transactions with external and resolving exceptions with the Front Office, Middle Office, and external clients before settlement released for automated settlement. Perform daily cash reconciliations, investigating and resolving any
You will be part of the team that oversees back office operations and provides support for trade settlement Management. You will assist front office trading by managing trades, cash flows, and instruments on the Murex duties include: Confirm all new and existing Front Office trades and cashflow transactions with external and resolving exceptions with the Front Office, Middle Office, and external clients before settlement released for automated settlement. Perform daily cash reconciliations, investigating and resolving any
You will be part of the team that oversees back office operations and provides support for trade settlement Management. You will assist front office trading by managing trades, cash flows, and instruments on the Murex duties include: Confirm all new and existing Front Office trades and cashflow transactions with external and resolving exceptions with the Front Office, Middle Office, and external clients before settlement released for automated settlement. Perform daily cash reconciliations, investigating and resolving any
Manage cash flow by monitoring, analyzing, and forecasting financial data. Execute daily cash management
motivated Finance Manager to join our Cape Town office on a 6-month contract, with the potential for a finance team to achieve departmental goals. Manage cash flow, accounts payable/receivable, and financial Proficiency in financial software and Microsoft Office Suite. Exceptional communication and interpersonal
reporting frameworks Ensure daily cash management enforced and forecast Cash Plan is kept up to date; Review
reporting and management activities Review weekly cash flow projections Produce and distribute monthly
reporting and management activities Review weekly cash flow projections Produce and distribute monthly
support for strategic planning. Monitor and manage cash flow, liquidity, and working capital to support
reporting and management activities Review weekly cash flow projections Produce and distribute monthly