account applications, Letters of Demand, Credit Insurance claims, etc. Assist with the updating of paperwork/spreadsheets with the Credit Insurance companies in this regard. Assist with the collation of insurance claims. Assist information with the Credit Insurance companies in relation to changes of insured limits, payment terms and regarding accounts on Syspro, Pastel, Credit Insurance cover, and trade account applications. Completion Related experience with Credit Insurance companies e.g. Credit Guarantee Insurance Corporation (CGIC), Coface
account applications, Letters of Demand, Credit Insurance claims, etc. Assist with the updating of paperwork/spreadsheets with the Credit Insurance companies in this regard. Assist with the collation of insurance claims. Assist information with the Credit Insurance companies in relation to changes of insured limits, payment terms and regarding accounts on Syspro, Pastel, Credit Insurance cover, and trade account applications. Completion Related experience with Credit Insurance companies e.g. Credit Guarantee Insurance Corporation (CGIC), Coface
group's Credit insurance policies and ensure compliance on time frames and insurance terms and conditions years' experience as a Credit Manager. Credit insurance experience and a firm understanding. Experience
Updating the asset register spreadsheet Handling insurance: claims / adding items / removing items Other
policies Liaise with external partners, like insurance vendors, and ensure legal compliance Create regular
Updating the asset register spreadsheet Handling insurance: claims / adding items / removing items Other
policies Liaise with external partners, like insurance vendors, and ensure legal compliance Create regular
various data sources. Compare actual performance to budget and prior year and obtain reasons for variances companies within the group. Treasury: Ensure that Cash Budgets and Forecast cash flow positions are prepared on
various data sources. Compare actual performance to budget and prior year and obtain reasons for variances companies within the group. Treasury: Ensure that Cash Budgets and Forecast cash flow positions are prepared on
execution, coordination, managing resources, managing budgets, and reporting of each project up to the Board in line with the corporate strategy. Manage the budget related to the NSO SSA Strategy which sits within