deadlines and establish priorities Cash reconciliation -As McDonalds is a cash intensive business we closely closely monitor and reconcile cash daily. Will work closely with the financial accountant in this regard to requirements. Cash accounting - Cash sales recorded in the pastel accounting system to the cash recorded in -Responsibility for maintaining a filing system for cash process. This will also entail playing a significant
deadlines and establish priorities Cash reconciliation -As McDonalds is a cash intensive business we closely closely monitor and reconcile cash daily. Will work closely with the financial accountant in this regard to requirements. Cash accounting - Cash sales recorded in the pastel accounting system to the cash recorded in -Responsibility for maintaining a filing system for cash process. This will also entail playing a significant
Export Controller Durban / Umhlanga area Market related salary Large freight forwarding company is seeking experienced export controller to join their team (Air and Sea freight). Overall, the Export Controller plays a crucial audits and checks to ensure adherence to export controls and trade compliance regulations. Implement best satisfaction in export services. 3 - 5 years in Export Control Diploma or similiar in Logistics or International
Export Controller Durban / Umhlanga area Market related salary Large freight forwarding company is seeking experienced export controller to join their team (Air and Sea freight). Overall, the Export Controller plays a crucial audits and checks to ensure adherence to export controls and trade compliance regulations. Implement best satisfaction in export services. 3 - 5 years in Export Control Diploma or similiar in Logistics or International
receivables' data Preparing bills receivable, invoices and bank deposits Reconcile the accounts receivable ledger statements Undertake all tenant liaison Updating the cash book on a daily basis Ad Hoc reporting to the Financial financial records Understanding Recons Understanding Cash Book Data entry skills along with a knack for numbers
payables for accounts payable clerks to input Reconcile bank account and distribute money within departments management of budgets, expenditure and forecasts Bank Account reconciliations Fixed Asset Register maintenance and administration of debtors, creditors and cash book Prepare monthly utility and insurance reconciliations
will be responsible for managing cashbooks and banking activities, overseeing accounts receivable and in financial reporting. Managing Cashbooks and Bankings: Maintain and update cashbook records on a daily cashbook balances with bank statements. Prepare and manage cash flow forecasts. Handle bank deposits, withdrawals withdrawals, and transfers. Ensure all bank transactions are accurately recorded and reported. Overseeing
knowledge and styling advice to customers Handle cash transactions and operate the point-of-sale (POS) as needed Assist with inventory management and control Participate in visual merchandising and display and holidays Basic knowledge of POS systems and cash handling Matric
knowledge and styling advice to customers Handle cash transactions and operate the point-of-sale (POS) as needed Assist with inventory management and control Participate in visual merchandising and display and holidays Basic knowledge of POS systems and cash handling Matric
resource allocation and cost control. Cash Flow Management: Manage cash flow, liquidity, and working investments. Implement effective cash management strategies and monitor cash flow projections. Financial Risk Develop risk mitigation strategies and internal controls to safeguard the company's financial assets. Financial