and reviewing weekly/bi-monthly cash flow requirements to improve cash flow management. Behavioural Competencies
creditors, cash book and payroll for foreign entities.
Customer Payments: Ensure all customer cash received is promptly applied to their accounts and
facilitating stock control, processing sales, handling cash, and following all Standard Operating Procedures and receiving of stock deliveries - Handling of cash and card sales, including processing of sales, banking
including income statements, balance sheets, and cash flow statements. Providing strategic financial guidance
including the income statement, balance sheet, and cash flow statement, to summarize the organization's
change it with us. Staff training and development Cash up duties Time management Admin Staff management
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 relevant
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 relevant
makers on an ongoing basis. Financial Statements Cash flow management and optimization across the Group