plan, RAID log etc). Managing project budgets and cash forecasts. Responsible for cost planning and Management
payments
manage expenses, calculate gross profit . Manage cash up and deal with CIT . Order stock, GRV stock and
and problem solving. Assistance via telephone and Cash and Carry customers. • Assist Reps at Customers
policies and procedures.
resource allocation.
can grow fast with the company. Monthly accounting Cash flow Payments Budget Invoices Suppliers Payroll
Responsibilities: Track expenses, budget, taxes, cash flow, receipts, and other financial dealings of
and Creditors Control
are processed timeously and accurately
Manage cash flow effectively
Complete financial budgets