out / receiving of leave forms ( when asked) Petty cash Meter readings for printers Handing out workshop
Processing VAT returns, bank statements, invoices, petty cash, debtors and creditors, dealing with many inter-company
Placing order where required. Purchases Jnl. Petty Cash Control. Fleet card schedules. Income & Expense
accounts Assist with budgets and outlooks Review cash book input on a monthly basis. Bcom finance degree
customer queries / complaints. Must be skilled in cash up reconciliation, stock management, opening &
the absence of Financial Manager Perform weekly cash flow projections saving of documents related to the absence of Financial Manager Perform weekly cash flow projections saving of documents related to
the absence of Financial Manager Perform weekly cash flow projections saving of documents related to the absence of Financial Manager Perform weekly cash flow projections saving of documents related to
ensure the effective and safe management of stock and cash, minimising shrinkage and ensuring a high standard effectively manage stock by enforcing security measures, cash controls, returns policies and all other relevant
ensure the effective and safe management of stock and cash, minimising shrinkage and ensuring a high standard effectively manage stock by enforcing security measures, cash controls, returns policies and all other relevant
fixed assets, general ledger, company taxation, cash flow, forex and insurance Review and submission Budgeting and forecasting Monitoring and interpreting cash flows and predicting future trends Producing Financial