(Invoices). Responsible for providing accurate banking details for payment purposes. Amending and maintaining
projects/programmes in the financial services and banking industry.
Tertiary qualification relevant
branch overtime, leave forms, night outs,
sales and creating quotes Daily checking of COD bank statement for payments Checking Delivery of Orders
sales and creating quotes Daily checking of COD bank statement for payments Checking Delivery of Orders
Manage petty cash, credit card transactions and banking, Perform other tasks and duties as directed by
Manage petty cash, credit card transactions and banking, Perform other tasks and duties as directed by
bookkeeping and management of company records
development targets.
development targets. Maintaining the master PE, Bank and Lawyer lists, making contact to set up meetings