strategy in alignment with the evolving energy transition landscape and responsible mining practices. Identify
Relationship Management). To ensure proper transitioning of customer to carrier in line with customer
Relationship Management). To ensure proper transitioning of customer to carrier in line with customer
conversation and negotiation, through to the transition of new clients Act as Paracon focal point for prospects through to closure, and eventually transition new accounts across to the account management strong understanding of financials, profitability and cash flow Sales forecasting and goal-setting techniques
Project, Transition, and Service Delivery management teams to assist in the smooth transition and acceptance
all payment transactions including card and cash Cashing up and banking COD's Counter Sales Assisting Matric with accounting would be beneficial Previous cash handling experience Sales experience Computer Literate
all payment transactions including card and cash Cashing up and banking COD's Counter Sales Assisting Matric with accounting would be beneficial Previous cash handling experience Sales experience Computer Literate
routine procedural information KEY RESPONSIBILITIES: Cash Ensure that the banking is done daily in conjunction Manager as per the banking procedures Ensure all cash ups balance with the banking The drop safe must locked and the key kept by the Admin Controller. Cash float must be checked and all spare keys for the kept at a safe place sealed in packets in the safe. Cash floats must always balance, and the Admin Controller must take full responsibility for the safe When cash ups are done, ensure that the cashiers balance.
routine procedural information KEY RESPONSIBILITIES: Cash Ensure that the banking is done daily in conjunction Manager as per the banking procedures Ensure all cash ups balance with the banking The drop safe must locked and the key kept by the Admin Controller. Cash float must be checked and all spare keys for the kept at a safe place sealed in packets in the safe. Cash floats must always balance, and the Admin Controller must take full responsibility for the safe When cash ups are done, ensure that the cashiers balance.
routine procedural information KEY RESPONSIBILITIES: Cash Ensure that the banking is done daily in conjunction Manager as per the banking procedures Ensure all cash ups balance with the banking The drop safe must locked and the key kept by the Admin Controller. Cash float must be checked and all spare keys for the kept at a safe place sealed in packets in the safe. Cash floats must always balance, and the Admin Controller must take full responsibility for the safe When cash ups are done, ensure that the cashiers balance.