organization's goals and objectives, ensuring smooth transitions during times of organizational change. Strategic
with the sales support team to ensure a smooth transition from sale to implementation, providing accurate
management team to ensure seamless contract transitions and facilitate upselling discussions during renewal
month, CTC Permanent Our client is currently transitioning to a PowerBI reporting ecosystem and is seeking
bank statements. Overseeing and processing of Daily cash ups for several stores from our Head office. Capturing Capturing and processing the daily expenses (cash, credit cards, Mr D, Uber and online) Posting journals
amounts.
reconciliations • Processing and reconciling of Petty Cash and cash control accounts • Keeping of a fixed asset
counting money, separating charge slips, balancing cash, and completing banking. Maintain knowledge of current prices, total purchases and receive and process cash or credit payment. Maintain records related to sales
and control wage cost Manage cash activities to ensure controlled cash handling environment Manage general
counting money, separating charge slips, balancing cash, and completing banking. Maintain knowledge of current prices, total purchases and receive and process cash or credit payment. Maintain records related to sales