experience in leading a team. Experience in Inventory control proces License with own reliable transport. Brief
to onboard a Document Controller who will work at the Project Site and control internal and external Sharepoint,Excel and Word. Knowledge of document control processes and systems on projects and knowledge
modules. Resolving incidents and tickets for Controlling, modules' cost centre, cost elements, internal and HR payroll integration, Cash and bank functionality and handle all banking-related requirements and
Operations, Systems and Control: - Financial transaction management. - Internal controls implementation. - improvement. Cash Flow Management: - Cash flow forecasting. - Working capital optimization. - Cash flow analysis
Operations, Systems and Control: - Financial transaction management. - Internal controls implementation. - improvement. Cash Flow Management: - Cash flow forecasting. - Working capital optimization. - Cash flow analysis
Responsibility: Customer engagement, Assist customers, Stock control, Resolve complaints, Maintain store, Cleaning duties exciting shopping experience, Maximize sales, Operate cash register, Maintain health, Safety and housekeeping
Financial Integrity Capital Strategy Financial Control Management of the department Employee's salaries salaries and wages payments Working Capital and Cash Flow Management Relationship Management Must have Degree
policies & procedures and implement improved control environment. • Test accuracy, classification and processes. • Cash flow projections to treasury. • Advise and coach business managers on control improvements
& Expenses Loading payments on bank when required Internal controls regarding creditors are in accordance Creditors teams and managing Clerks Cashbook Petty cash – processing of documentation Recordkeeping & required documentation Internal control To ensure internal controls at branches are in accordance with implementing systems of internal control Communication and training of internal controls to relevant staff Regular interest paid and deferred interest Balancing of ISA control account to monthly statements Yearly asset verification
open, and stuck orders. Ensure daily cash-ups and that shop banking matches actual sales. Report variances open, and stuck orders. Ensure daily cash-ups and that shop banking matches actual sales. Report variances