– Decide on investment strategies by considering cash and liquidity risks. – Control and evaluate the fundraising plans and capital structure. – Ensure cash flow is appropriate for the organization’s operations
function, all preparation up to financial statements, cash flow preparation, budget prepping, profitability function, all preparation up to financial statements, Cash flow preparation, budget prepping, profitability
history and good references. Must be skilled in cash up reconciliation, stock management, opening &
to clients, retail over counter and by telephone -Cash up -Receive payment and issue receipts and change
accurate financial reports and information. Developing cash flow statements. Projecting profit. Managing credit
providing excellent customer service Handling of cash Control over stock Management of the shelves Handling
requirements, including preparation / review of cash flow projections ● Provide assistance with managing
Assist in preparing financial statements, budgets and cash flow forecasts. Oversee and maintain the company’s
community, specializing in long-term rental and cash car rental options. Role Description This is a full-time
community, specializing in long-term rental and cash car rental options. Role Description This is a full-time