overall tax compliance of the Group; Managing daily banking and cash requirements for the Group; Monthly Payroll
overall tax compliance of the Group; Managing daily banking and cash requirements for the Group; Monthly Payroll
transactions. Account Reconciliation: Reconcile bank statements and financial ledgers. Identify and resolve
transactions. Account Reconciliation: Reconcile bank statements and financial ledgers. Identify and resolve
us in the future including but not limited to, banking details, criminal history and credit reports /financial
forecast to management on a daily/weekly cycle Monitor bank balances against facilities on a daily basis and information in reviewing of any funding facilities incl. bank facilities PROCESS: Establish and lead standard maintain a good relationship with Company Vendors, Bank institutions and auditors where applicable. Provide
in the Petrochemical Industry and/or commodity banking 5 yrs at managerial level
in the Petrochemical Industry and/or commodity banking 5 yrs at managerial level
Processing credit notes , stock and financial Banking Processing credit application forms and opening
at reputable asset management firms, investment banks, or research houses to gain first-hand experience