project's vision and business strategy. They will convert back-end code into a graphical interface, ensuring
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
Experience with Restaurant administration & cash-ups needed. Duties will include staff management
individuals with good references. Must be skilled in cash up reconciliation, stock management, opening &
individuals with good references. Must be skilled in cash up reconciliation, stock management, opening &
customer queries / complaints. Must be skilled in cash up reconciliation, stock management, opening &
and Safety (OHS) regulations. Cash Flow Reporting: Provide daily cash flow reporting on IT2Net. RMA/WCA
finish. Develop and monitor project budgets and cash flows. Manage procurement processes, including RFQs
Responsibilities Preparation of annual financial statements Cash flow forecasting and management People Management