support in the project department ensuring smooth transitions from design to construction within the required support in the project department ensuring smooth transitions from design to construction within the required
Accountability
Cash – Responsible for banking on a daily basis, cash ups, drop safe to be be locked at all times, cash float checked and balanced.
Administration – Control in the store, do all filing procedures, cash control, petty cash, stock control, personnel and internal the cash desk area
Housekeeping – Maintain cleanliness in office and cash desk
do the following Store Inspection Stock Counting Cash up Inspection Store Managment Years Experienc in
do the following Store Inspection Stock Counting Cash up Inspection Store Managment Years Experienc in
Maintaining workshop program data, filing and petty cash control. Requirements: •Matric/ Grade 12 certificate
recommendations for approval or rejections
Trail Balance, Income Statements, Balance Sheet and Cash Flow). SARS Tax Practitioners: VAT, PAYE and Income cashflow forecast. Maintain weekly cash bank balances Reporting weekly cash flow figures to the Financial
Trail Balance, Income Statements, Balance Sheet and Cash Flow).SARS
customer queries / complaints. Must be skilled in cash up reconciliation, stock management, opening &