and profitability where possible. • To assist with cash collection as and when necessary. • To leverage
and profitability where possible. • To assist with cash collection as and when necessary. • To leverage
transactions are reconciled Control and maintain all petty cash transactions Ensure banking is done daily and deposit
expansion and growth of our business. Responsibilities: Cash flow and working capital management Preparation
expansion and growth of our business. Responsibilities: Cash flow and working capital management Preparation
submission for commission pay-outs Ensure that all cash sale transactions are paid in full Take corrective
that all Race Day transactions are accounted for, cashed up and securely stored Event Planning and Coordination
that all Race Day transactions are accounted for, cashed up and securely stored Event Planning and Coordination
Optimize the use of Working Capital. Generate a cash flow that meets the agreed targets and budgets Define
for depot · Plan and execute an annual budget · Cash flow management, expense control. · Actual vs budget