up to and including the Balance Sheet, Income and Cash Flow Statements, with supporting working papers in this regard. Maintain the Programme budget and cash flow projections, including a monthly expenditure requests and process month end Journals Perform bank and balance sheet reconciliations and validate balances
up to and including the Balance Sheet, Income and Cash Flow Statements, with supporting working papers in this regard. Maintain the Programme budget and cash flow projections, including a monthly expenditure requests and process month end Journals Perform bank and balance sheet reconciliations and validate balances
and experience of Pilot or similar POS software - cash up, days end, month end, stock control, staff rostering
preparation, cleaning and hygiene protocols, service, and cash ups.
Along with your Matric Certificate