supervision and development. All store controls. Cashing up and banking. Stock control and stock takes.
access control measures in store - Ensure cash-in-transit processes are adhered to - Ensure out of hours
access control measures in store - Ensure cash-in-transit processes are adhered to - Ensure out of hours
creditors, petty cash, banking accounts, and monthly reporting Maintain the cash book and oversee daily working day Perform monthly reconciliation of petty cash items at the stores Assist with asset/liability
system) Full function management of cashbooks, petty cash functions, bank reconciliations Balance sheet reconciliations system) Full function management of cashbooks, petty cash functions, bank reconciliations Balance sheet reconciliations system) Full function management of cashbooks, petty cash functions, bank reconciliations Balance sheet reconciliations
supporting some of the world's largest corporations and transit agencies. Come and join us and be part of our mission are helping: Cities evolve into smart cities, Transit agencies to create better public bus systems, Private
income statements, profit and loss statements, cash flow statements. Responsible for control over funds
regulatory and statutory compliance, internal controls, cash flow management and taxation. This will be an opportunity
daily banking
counting money, separating charge slips, balancing cash, and completing banking. Maintain knowledge of current prices, total purchases and receive and process cash or credit payment. Maintain records related to sales