with Club Administration when necessary
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
history and good references. Must be skilled in cash up reconciliation, stock management, opening &
Specialist to be responsible for the verification, planning and actioning maintenance tasks together with environments Be responsible for the verification, planning and actioning of maintenance tasks together with
Technical Lifecycle Management (TLM) Support with the Planning, conducting and after care related to TLM activities topics in support of the relevant reliability planning feature team. Attending of all Agile ceremonies
format depending on methodology followed
appropriate format depending on methodology followed Planning and monitoring Communication Assist with identification
Model
environments Be responsible for the verification, planning and actioning of maintenance tasks together with