performance, minimize bad debts, and maintain a healthy cash flow. Debtors' Management: Oversee the debtors' department settlements, and escalating delinquent accounts. Cash Flow Management: Monitor and forecast CF receipts from from debtors, identifying potential cash shortfalls and implementing corrective actions. Risk Management: reports and analysis on debtors' performance, cash flow, and credit control. Monthly closure tasks, reviews
external creditor-related queries. Provide weekly cash flow data to the line manager. Coordinate and maintain
regulations. Handling transactions accurately, including cash, credit, and debit payments, and maintaining balanced
past 5 consecutive years. Our mission is to assist cash-strapped South African consumers achieve financial
regulations. Handling transactions accurately, including cash, credit, and debit payments, and maintaining balanced