Internal/Counter Sales Security Technology (POS24104)
Roodepoort (West Rand)
R month plus commission
Electronic Security Company in Roodepoort is looking for an INTERNAL
candidates from the electronic or fire protection or security technology or ICT industry.
/>- Design, install and manage security mechanisms that protect the company's network
Upgrade systems by implementing and maintaining security controls;
- Protect the system by defining
Develop and implement standardised Information Security processes and procedures;
- Respond to internal
to ensure compliance and correction of all IT security issues;
- Conduct IT risk assessments;
- Research, plan, and implement information security technical solutions to meet business requirements
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 related to minimising stock losses and maximising security procedures at the point of sale. To deliver superior
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 related to minimising stock losses and maximising security procedures at the point of sale. To deliver superior
overseeing all aspects of treasury operations, including cash management, liquidity management, risk management optimize cash flow and liquidity management
for a Costing Accountant to provide guidance on cash management and day-to-day company expenses. Someone following: Sage Pastel Excel Costings and Budgets Cash Flow forecasts Our client is looking for an experienced generate the respective reports for decision making. Cash flow Forecasts Presentable Proven work experience
overseeing all aspects of treasury operations, including cash management, liquidity management, risk management strategies to optimize cash flow and liquidity management Monitor and manage the company's cash position and forecast forecast cash requirements Execute funding and financing activities, including debt issuance and bank
overseeing all aspects of treasury operations, including cash management, liquidity management, risk management strategies to optimize cash flow and liquidity management Monitor and manage the company's cash position and forecast forecast cash requirements Execute funding and financing activities, including debt issuance and bank
Accounts receivable function Inventory function Cash book function Processing of monthly journals Responsible Responsible for reconciliation of credit card and petty cash Assistance to Managing Director for monthly VAT
Credit Control Teams
Preparation of the daily Cash Flow requirements for each company
Allocation
relating to Treasury are zero Daily
Process petty cash for company
Process bank clearing in Accpac