detail and accuracy. Responsibilities Reconciling bank statements and cashbook entries. Maintaining debtors
detail and accuracy. Responsibilities Reconciling bank statements and cashbook entries. Maintaining debtors
of materials, procedures, standards and controls. Bank Recons Petty Cash Recons Cash Ups Weekly Management
of materials, procedures, standards and controls. Bank Recons Petty Cash Recons Cash Ups Weekly Management
tasks and activities: Checking the cash up and banking detail daily Assist with customer refunds Ensure
tasks and activities: Checking the cash up and banking detail daily Assist with customer refunds Ensure
challenges. Responsibilities Checking the cash up and banking details daily Assist with customer refunds. Ensure
challenges. Responsibilities Checking the cash up and banking details daily Assist with customer refunds. Ensure