reviewing of Cash Sales & Credit Card transactions Periodic reconciliation of Cash Sale and Credit Card Ledger Accounts Maintaining three separate Cash Books Maintaining Fixed Asset Register Authorization
bookkeeper and financial team. Processing and recon of cash books Processing of invoices Assist with audit file
completed Resolve customer queries regarding in-transit damaged goods Report missing rates and complete
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tooling. Plans how new or changed services are transitioned into operations, co-ordinating with other functions
documents, and recording and investigating in-transit claims . Matric and relevant qualification. Diploma
documents, and recording and investigating in-transit claims . Matric and relevant qualification. Diploma
Managing, processing and reconciling cash transactions of all cash and fleet cards Process invoices and
Managing, processing and reconciling cash transactions of all cash and fleet cards Process invoices and