transactions to management Queries resolution Reconcile cash sales Assist with general admin and reconciliations such as fuel cards, reimbursement claims and petty cash etc. Minimum Requirements Grade 12 Finance Diploma
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- Participates in casino cash and coin counts as assigned by casino management
Must have experience in the cash counting industry automated safes, cash counting equipment technician solder electronic PC boards.
Must have experience in the cash counting industry – automated safes, cash counting equipment technician ability to solder electronic PC boards. Knowledge of cash counting equipment repairs, service, and maintenance Ability to follow rules and regulations due to cash environment. Provide Technical support to customers/staff customers/staff. Service/Support and Repair Note and Coin Counting equipment. Provide Telephonic Technical
- Adjusts slot machines, coin-handling, card shuffling and all other machines and equipment following
approval.
- Fills machines with coins and tests electrical and coin-handling systems.
- Examines
proficiency in reconciliations, NAV preparation, cash management, and advanced Excel skills. Experience Management: Set up and monitor new clients and transitions across custodians, ensuring seamless operati formal reviews of reconciliations, trade activities, cash management, and hedge fund processes to ensure accuracy
Grade C PSIRA certificate with Response or Cash in Transit
proficiency in reconciliations, NAV preparation, cash management, and advanced Excel skills. Experience Management: Set up and monitor new clients and transitions across custodians, ensuring seamless operations formal reviews of reconciliations, trade activities, cash management, and hedge fund processes to ensure accuracy
proficiency in reconciliations, NAV preparation, cash management, and advanced Excel skills. Experience Management: Set up and monitor new clients and transitions across custodians, ensuring seamless operations formal reviews of reconciliations, trade activities, cash management, and hedge fund processes to ensure accuracy
will include
Cash book, petty cash, banking, as well as Cash flow projections,
Ensure
stakeholders
Inventory management, including goods in transit, inventory journals, Stock count and stock adjustments