responsibilities: Ensure daily cash up is checked and correct. Compile daily petty cash, credit memo and voucher daily cash-up. Send expense claims to Head Office finance department. Compile weekly petty cash reports needed as well as credit notes. Examine the petty cash to ensure that all invoices and slips have been key registers. Weekly check and sign off of Petty Cash. Maintain company policies and procedures. Ensure
responsibilities: Ensure daily cash up is checked and correct. Compile daily petty cash, credit memo and voucher daily cash-up. Send expense claims to Head Office finance department. Compile weekly petty cash reports needed as well as credit notes. Examine the petty cash to ensure that all invoices and slips have been key registers. Weekly check and sign off of Petty Cash. Maintain company policies and procedures. Ensure
Counter sales Basic administration Daily cash ups and handling of cash Product Knowledge Technical assistance
Counter sales Basic administration Daily cash ups and handling of cash Product Knowledge Technical assistance
North Rand, a division of The SPAR Group Ltd, is recruiting for a Retail Operations Manager At its Distribution retailers with retail growth, profitability, and cash flow. Analysing and accurately interpreting of store and store standards audits. Compile Action plans, cash flow forecasts and feasibilities Performing store disqualification of your application. In the course of the recruitment process, and for matters related to your application
North Rand, a division of The SPAR Group Ltd, is recruiting for a Retail Operations Manager At its Distribution retailers with retail growth, profitability, and cash flow. Analysing and accurately interpreting of store and store standards audits. Compile Action plans, cash flow forecasts and feasibilities Performing store disqualification of your application. In the course of the recruitment process, and for matters related to your application
unexpected challenges. Responsibilities Checking the cash up and banking details daily Assist with customer key registers. Weekly check and sign off of Petty Cash. Maintain company policies and procedures. To positively and co-ordinate safe audits with Safe Manager. Recruitment and discipline management of staff. Must be able
unexpected challenges. Responsibilities Checking the cash up and banking details daily Assist with customer key registers. Weekly check and sign off of Petty Cash. Maintain company policies and procedures. To positively and co-ordinate safe audits with Safe Manager. Recruitment and discipline management of staff. Must be able
not exceed budget e.g. telephone stationery petty cash purchase orders etc. Management of staffing plans merchandising suppliers e.g. signage tags stationery Cash management opens and closes store in accordance verifies opening cash balance at each register run daily bank up etc. Oversees daily cash reconciliation
not exceed budget e.g. telephone stationery petty cash purchase orders etc. Management of staffing plans merchandising suppliers e.g. signage tags stationery Cash management opens and closes store in accordance verifies opening cash balance at each register run daily bank up etc. Oversees daily cash reconciliation