Update Selling Prices as needed on pastel Monitor Cash Flow and do projections. Capture new assets and Send monthly income statement to management Do a cash flow statement Updated YTD Budget Cell phone expenses Savings account (Salaries) Petty Cash HO Petty Cash Cape Petty Cash Natal Std Bank Covid acc - every
stationery, uniform, indemnity payments and petty cash management. – Effective scheduling and organizing
advances and driving their adoption. Request and Coordinate New Versions of Analysis for Office WUSS packages support of (new) business processes. Action and coordinate CM (Change Management) tasks and tickets as required evenings) Coordinate and Support SAP Basis team with issues and during upgrades. Coordinate with Application
and driving their adoption.
history and good references. Must be skilled in cash up reconciliation, stock management, opening &
with Club Administration when necessary
practical experience of IT Infrastructure i.e., Data Centres, Networks, Servers, Storage, Platform, Middleware
area. ROLE: You will be responsible for the coordination of the technical implementation as well as the
Product owner to shape the Product roadmap
the Product owner to shape the Product roadmap Coordination between development and support environments