reporting capability development Supporting Group Treasury in creating management information flows for cashflow
regulations
? Manage an effective in-country treasury function aligned with central standards and procedures
finance team. Review monthly reconciliations. Treasury management. Month-end process completion (including
payments Provide cover for accounts payable or treasury when necessary At minimum, a Diploma in Accounting/Bookkeeping
banking relationships and work with Corporate Treasury & SGH. Simplification & Projects - Assist
corporate income tax for group companies. Support Treasury activities Administer all tax requirements/returns
companies
Support Treasury activities
corporate income tax for group companies Support Treasury activities Administer all tax requirements/returns