Ensure that the banking is done daily in conjunction with the Store Manager as per the banking procedures procedures Ensure all cash ups balance with the banking The drop safe must be always locked and the key kept by cashiers balance. If there are shortages or over banking, this needs to be investigated and relevant corrective
Ensure that the banking is done daily in conjunction with the Store Manager as per the banking procedures procedures Ensure all cash ups balance with the banking The drop safe must be always locked and the key kept by cashiers balance. If there are shortages or over banking, this needs to be investigated and relevant corrective
Ensure that the banking is done daily in conjunction with the Store Manager as per the banking procedures procedures Ensure all cash ups balance with the banking The drop safe must be always locked and the key kept by cashiers balance. If there are shortages or over banking, this needs to be investigated and relevant corrective
Ensure that the banking is done daily in conjunction with the Store Manager as per the banking procedures procedures Ensure all cash ups balance with the banking The drop safe must be always locked and the key kept by cashiers balance. If there are shortages or over banking, this needs to be investigated and relevant corrective
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adept to admin tasks; 3. Experience or interest in banking and finance related matters; 4. Familiarity with
adept to admin tasks; 3. Experience or interest in banking and finance related matters; 4. Familiarity with
Job Summary
The position is available in the H4 Operations Team. The team is redemptions payment instructions for review and obtain bank verification reports within the required timelines
ADMIN. CONTROLLER / DENLYN MALL – This position will be responsible to perform clerical information /p>
Cash – Responsible for banking on a daily basis, cash ups, drop safe to be locked
ABOUT THE POSITION CITY OF JOHANNESBURG MUNICIPALITY Matric or relevent qualification MS Office Bilingual reconciliation of the company credit card by means of a bank statement Ensure correct allocation of all transaction