Accounts Payable Associate [12 month contract] to join their team. The Accounts Payable Associate will be responsible
Reference: GTG007543-CVE-1 Our client based in Pretoria is urgently looking for a Junior Financial Analyst to join their team 12 months renewable contract Minimum qualification required: - Post matric higher certificate (NQF 5) in the banking environment with Economics, Finance, Statistics, Business
Reference: GTG007543-CVE-1 Our client based in Pretoria is urgently looking for a Junior Financial Analyst to join their team 12 months renewable contract Minimum qualification required: - Post matric higher certificate (NQF 5) in the banking environment with Economics, Finance, Statistics, Business
Accounts Payable Associate [12 month contract] to join their team. The Accounts Payable Associate will be responsible
ML81 Function Remittances Queries Credits Clear marking of GLs Vendor applications , sourcing ordering reconciliation Reconciliation Processing Filing Trade Sample Documentation Workflow Follow up Transport
ML81 Function Remittances Queries Credits Clear marking of GLs Vendor applications , sourcing ordering reconciliation Reconciliation Processing Filing Trade Sample Documentation Workflow Follow up Transport
opportunity to gain hands-on experience in commodities trading and market analysis under the mentorship of seasoned ssist senior traders and analysts in executing trades and analyzing market trends in various commodities
portfolio exception reports (eg unmatched trade report, unsettled trades, large price movements), investigate broker and counterparty set-up - Trade Lifecycle support – ensure correct trade booking, confirmation and settlement instruments, including how they are valued and the trade life-cycle Solid 3 to 5 years experience of: - Financial business problems - Trading methodologies - Fund management - Fund accounting - Trade and custody reconciliations
Update and align Store Master data with store trading status and utility information; Ensure that all Process all monthly rental payments across all trading divisions; Process all monthly payments for all store utility contracts and accounts across all trading divisions; Monitor and assess all unpaid utilities Update and align Store Master data with store trading status and utility information; Ensure that all control, tax, compliance, cash flow, audits, trading and non-trading accounts, asset management and reporting
Responsible for larger scale analytical projects associated with product line performance, customer pricing/impact