career? RCL FOODS is on the hunt for a qualified Cash and Assets Controller to join the Vector Logisitics
record Duties will include: Daily Cash Ups Managing cash in transit Opening and closing of shop Managing
claims Monitor transfers In-transit and manage the age analysis of stock in-transit Resolve and analyze transfer
way for them" Rochell Serdyn, Boland Team "My transition from a corporate CFO to the portfolio lifestyle [Email Address Removed] CFO Centre supported my transition well with training sessions on proven tools and
include: Managing transactions with customers using cash registers Scanning goods and ensuring pricing is is accurate Collecting payments whether in cash or credit We are looking for a Cashier to manage all transactions gift-wrapping packages and keeping track of all cash and credit transactions. To be successful in this customer service position and good knowledge of how cash registers operate. You should also be available using cash registers Scan goods and ensure pricing is accurate Collect payments whether in cash or credit
journals
handling of invoices for accounts payable, petty cash, invoicing, etc. This role requires attention to needed including collecting cash-up from the commercial units. Banking excess cash and ensuring there is adequate balances. 3. Petty Cash: Manage and write-up of Petty Cash. Reconcile Petty Cash on a weekly basis. 4
Management and Cost Accountant. Banking and Cash Flow Daily cash book processing for all accounts (current- the accuracy and integrity of the bank accounts / cash book. Responsible for checking, loading and releasing SOPs. Daily and weekly monitoring of cash flow. Update the cash flow statements / tracker on a daily month rolling cash flow projections on a weekly basis. Petty Cash Manage and balance cash income and expenses expenses and cash banking. Review monthly Petty cash reconciliations for all divisions / locations. Statutory
cross functions to drive the circular economy transition in packaging and food production. Inspire and function in the organisation's journey to a just transition to net zero. Reporting to the National Sustainability
bank products and services, maintain and balance cash supplies, and keep track of bank records and financial Maintaining and balancing cash drawers and reconciling discrepancies. Packaging cash and rolling coins to