financial models to forecast sales, expenses, and cash flow. Analyse financial data and provide insights ensure adequate stock levels while minimizing carrying costs. Implement inventory control procedures
financial statements, budgeting and forecasting, cash flow management as well as managing a team.
Taking calls and making bookings • Cashing up sales • Controlling petty cash. • Introducing clients to the
management and balancing of bank balances daily Petty cash control Preparation of financial reports and summaries management and balancing of bank balances daily Petty cash control Preparation of financial reports and summaries management and balancing of bank balances daily Petty cash control Preparation of financial reports and summaries
and payment on approval as agreed.
in Midrand. Must have transportation. Duties: · Carry out administrative tasks and projects as required
The successful candidates will be expected to carry out general accounting duties up to trail balance
in financial reporting, budget and forecasting, cash flow management, consolidations and taxation. The
Responsibilities
bank transactions efficiently to ensure optimal cash flow management.