/>The Company Rules
Customer Relations
Cash Management Procedures
Passenger Management
new business as per Annual Operating Plan Manage cash and stock Pull, analyse reports to drive continuous
bank deposits. Reconcile bank statements and manage cash flow. Assist with the preparation of financial reports
finance team to achieve departmental goals. Manage cash flow, accounts payable/receivable, and financial
transactions are reconciled Control and maintain all petty cash transactions Ensure banking is done daily and deposit
/>The Company Rules
Customer Relations
Cash Management Procedures
Passenger Management
that all Race Day transactions are accounted for, cashed up and securely stored Key Competencies/ Attributes
that all Race Day transactions are accounted for, cashed up and securely stored Event Planning and Coordination
that all Race Day transactions are accounted for, cashed up and securely stored Event Planning and Coordination
that all Race Day transactions are accounted for, cashed up and securely stored Key Competencies/ Attributes