with their individual requirements Manage Petty Cash Assisting with quotations and invoices Manage filing
accounts Reconcile General Ledger accounts Petty cash control and reconciliation Bad debt control and
with their individual requirements Manage Petty Cash Assisting with quotations and invoices Manage filing
team to achieve departmental goals.
matching for accuracy Control and reconcile petty cash for Head Office and branch locations Review and
matching for accuracy Control and reconcile petty cash for Head Office and branch locations Review and
for accuracy
Assisting in a client's operational processes such as cash up sheets and stock counts Assisting in the compilation
monthly budgets of the team Management of monthly cash targets of the team Formal Diploma or Degree in
Budgets and Forecasts. Compiling and monitoring of cash flow. Other Admin or Financial duties as required