correspondence with customers related to goods in transit control. • Maintain various records key to the
their individual requirements
their individual requirements
reconciling monthly Manage Office Manage Petty Banking for Cash Credit Card reconciliation Assist with monthly stock for extra requirements for machinery (i.e. frames, coin mechanisms, chemicals etc) that are sold with the
reconciling monthly Manage Office Manage Petty Banking for Cash Credit Card reconciliation Assist with monthly stock for extra requirements for machinery (i.e. frames, coin mechanisms, chemicals etc) that are sold with the
with their individual requirements Manage Petty Cash Assisting with quotations and invoices Manage filing
with their individual requirements Manage Petty Cash Assisting with quotations and invoices Manage filing
completion and handover · Administer and control petty cash · Provide programme administration support · Administer
completion and handover · Administer and control petty cash · Provide programme administration support · Administer
(Uniform and work stations) Morning reports & Daily cash ups Non-invoiced report & Pending weekly checked