day-to-day accounting functions within the business unit. •Assist the Group Financial Controller with the development
Stakeholder Management Assist commercial unit with compilation of tenders. Assist SCM in procurement of material
Stakeholder Management Assist commercial unit with compilation of tenders. Assist SCM in procurement of material
for all operations in his/her business unit.
Reference: CNT000467-KN-1 To assist the Head: Trade Transaction Management Unit with the management and reconciliation of the of TMU Accounts) by ensuring that the daily, weekly and monthly reconciliations are being performed across all product classes and all systems as required. Ensuring resolutio
Reference: CNT000467-KN-1 To assist the Head: Trade Transaction Management Unit with the management and reconciliation of the of TMU Accounts) by ensuring that the daily, weekly and monthly reconciliations are being performed across all product classes and all systems as required. Ensuring resolutio
To ensure the success of draw events. To maintain compliance with organizational and statutory requirements with regards to the lottery draws and to oversee the maintenance and audits of draw. To ensure that the communication and information between the studio and the data centre is accurate at all