to position) of administrative, financial and operational activities with the following attributions/demands Support, Pushed and Pulled):
imported on CMS daily. Prepare and report daily cash flow and bank balances schedules. Update bank balances Check and authorize reimbursement of branches petty cash, ensure that all costs are correctly processed, accounted for. Review all petty cash floats and ensure that the cash count agrees to the general ledger differences. Order Pretoria petty cash on a weekly basis to ensure that cash is readily available. Validation as stand-in for the Trust Controller and Bank and Cash Clerks, where applicable. Skills and knowledge Attention
limited:
Vacancy exists for an Operations Supervisor at our Midrand Branch. The candidate should be a highly motivated Permit applications & COF for fleet. Crane operator recertification and annual medicals tracking. Minimum 3years experience in a mobile crane rental/operations environment. Computer literate (Excel, Word, advantage. Extensive knowledge of mobile crane operations. Vehicle fleet card (Fuel & Toll). Company
Our client is seeking an experienced Operations Supervisor to oversee daily activities. The ideal candidate profitability, expense and debtors Control) Manage the operational budget, with high focus on cost management. Authorise expenditure within authority levels. Assist with operational budget inputs (resources, material handling equipment agreements and maintain or improve profitability. Operational and Technical Management Manage technical queries to client and service providers SLAs. Oversee operational service delivery / client satisfaction Check
Cash Management Bookkeeper
Company background
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As the cash management bookkeeper for various stores, you will check the daily cash-ups for all all relevant Balance Sheet accounts linked to the Cash Management function, monthly and processing of relevant
individuals to join our cash office department in Goldengate Verulam. As a cash office clerk, one must carry out the duties of the job. Ordering of change Cash-up cashier at the of the day Preparing float for cashier report At least 1 year experience working with cash in store environment Good communication skills Competencies certificate upon application. Experience: Retail Cash Office: 1 year (Required) Must be able to work these
The successful candidate will be responsible for cash collections on behalf of the company in French speaking and 2 days' work from home. Responsibilities: All Cash collections/debtors' functions including but not
The Cash Desk Clerk is responsible for handling transactions at the cash desk, providing excellent customer service, and ensuring accurate cash handling. This role involves managing cash, processing payments, and maintaining Responsibilities: Cash Handling: Receive and process various forms of payments including cash, checks, credit Ensure the accurate counting and reconciliation of cash drawers at the beginning and end of each shift. of cash and other valuables at the cash desk. Administrative Tasks: Prepare and submit daily cash reports
Airline Cash Administrator (JB4572) OR Thambo, Gauteng R13 000 to R15 000 a month CTC 6 Month Contract dedicated Airline Cash Administrator with strong knowledge in financial management and cash handling and foreign skills Sound knowledge of operations, business processes, and accountability for cash and foreign currency Responsibilities: Capture daily cash receipts per currency per airline as required Cash up per currency per airline airline daily or as required Report cash shortages per airline daily to Cash & Recon Team Leader Issue