implement financial strategies aligned with the company's overall objectives, driving growth, profitability strategies, and internal controls. Cash Flow Management: Manage cash flow projections and optimize working
ideally selling point of sale devices, ATMs, cash vaults etc
The purpose of applications and installations to ensure that the company acquires sufficient new business that is viable
requirements in all areas of operational activity, company policies and procedures. To clearly and concisely To achieve stock control targets in line with company guideliness to prevent financial loss by determining ensure that all company property issued to him/her is well looked after and only for company purposes with retail related functions related to the area and company Critical Dimensions To achieve area sales target compliance requirements with regards to security and cash for area. To achieve/ over achieve on budget provit
requirements in all areas of operational activity, company policies and procedures. To clearly and concisely To achieve stock control targets in line with company guideliness to prevent financial loss by determining ensure that all company property issued to him/her is well looked after and only for company purposes with retail related functions related to the area and company Critical Dimensions To achieve area sales target compliance requirements with regards to security and cash for area. To achieve/ over achieve on budget provit
reconciliations Processing and reconciling of Petty Cash and cash control accounts Keeping of a fixed asset register avoidance / Non-resident tax Secondary tax on companies Perform vouching tests during an audit of (Pty) characteristics of close corporations / private company / sole proprietor / trusts / clubs / sectional the above Personal liability of members to CC/company and others Accounting records to be maintained
Monitor and control site expenses, including petty cash management. Experience working in or on a construction
Monitor and control site expenses, including petty cash management. Experience working in or on a construction
strategies, and internal controls. Cash Flow Management: Manage cash flow projections and optimize working
realistic and achievable financial plans. Cash Flow Management: Monitor cash flow projections and manage working
levels and approvals. Manage and oversee the companies in the group's Credit insurance policies and ensure Improve debtors' days outstanding and maximise cash inflow. Ensure that tight credit controls are implemented to set internal limits. Manage and oversee the company's financial accounts receiving funding services