Requirements: Degree / Diploma in General Nursing Midwifery; Postgraduate certificate/ diploma in relevant specialty area 1 year post-graduate qualification experience before placement in a specialised unit Job Skills: Infection prevention and control Pharmacology Scientific nursing principles and p
A vacancy exists for a Registered Nurse- Trauma trained in Trauma Unit The successful candidate will
Assist project teams outside normal office hours with cash requirements. Maintain financial transactions & of project materials Maintain the fixed asset registers. Implement internal controls, recommend BEST practice
the following Registers:- Occurrence Book, Main Door Key Registers, Visitor’s Register, Vehicle and Pedestrian Pedestrian Access Permit Register, Register of Contractors, Crew Register of Docked Commercial Vessels each issue are authorized and recorded in Key Register. Perform tasks unrelated to Security and assist as instructed by Management. The completion of registers at ships in PMC Dockyard hands and PMC Dockyard
Compile management accounts, including budgets, cash flows, variance analysis and commentaries. Produce statutory and sustainability reporting including cash flows, variance analysis and commentaries. Oversee operational risk and escalate appropriately. Supervise cash management activities. Responsible for co-signatory profit and loss analysis. Complete and update daily cash flow statement to establish working capital requirements security of all assets within direct control, i.e. cash, fixed assets, in line with approved policies, processes
related to:
commission Permanent A leading provider of automated cash management and payment solutions within the retail and negotiation skills, a strong understanding of cash management principles, and a proven track record conduct product demonstrations to showcase our cash management solutions, and grow opportunities through meetings with decision-makers in the market for cash management solutions, and build a future pipeline
Compile management accounts, including budgets, cash flows, variance analysis and commentaries. Produce statutory and sustainability reporting including cash flows, variance analysis and commentaries. Oversee operational risk and escalate appropriately. Supervise cash management activities. Responsible for co-signatory profit and loss analysis. Complete and update daily cash flow statement to establish working capital requirements security of all assets within direct control, i.e. cash, fixed assets, in line with approved policies, processes
including but not limited to: Cash-ups, Day-end and Banking, Dippings, Cash Collections, Month-end Any other
including but not limited to: Cash-ups, Day-end and Banking, Dippings, Cash Collections, Month-end Any other