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 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
McDonalds Franchised fast food restaurant business. Honesty and integrity at all times. Ability to work deadlines and establish priorities Cash reconciliation -As McDonalds is a cash intensive business we closely closely monitor and reconcile cash daily. Will work closely with the financial accountant in this regard to requirements. Cash accounting - Cash sales recorded in the pastel accounting system to the cash recorded in -Responsibility for maintaining a filing system for cash process. This will also entail playing a significant
McDonalds Franchised fast food restaurant business. Honesty and integrity at all times. Ability to work deadlines and establish priorities Cash reconciliation -As McDonalds is a cash intensive business we closely closely monitor and reconcile cash daily. Will work closely with the financial accountant in this regard to requirements. Cash accounting - Cash sales recorded in the pastel accounting system to the cash recorded in -Responsibility for maintaining a filing system for cash process. This will also entail playing a significant
individual with a knack for numbers? Do you thrive in a fast-paced environment and have a keen eye for detail Extract audit samples for auditors. Maintain the petty cash float. Ensure vouchers have correct supporting documentation Issue receipts for all non-debtor's cash items. Capture Petty Cash journals for all sites into E1 and and prepare monthly Reconciliations. Secure cash in the safe and maintain the deposit slips book for banked
individual with a knack for numbers? Do you thrive in a fast-paced environment and have a keen eye for detail Extract audit samples for auditors. Maintain the petty cash float. Ensure vouchers have correct supporting documentation Issue receipts for all non-debtor's cash items. Capture Petty Cash journals for all sites into E1 and and prepare monthly Reconciliations. Secure cash in the safe and maintain the deposit slips book for banked
possess a keen eye for detail? Do you thrive in fast-paced environments and prioritize financial precision time, and ensure timely invoice disbursements for cash flow.
volumes of accounts payable (creditors) accounts, in a fast paced technical environment.
The Cash Book Clerk is responsible for managing and recording all cash transactions. This role involves involves maintaining accurate records of cash inflows and outflows, reconciling daily transactions, and ensuring record-keeping. Swift has multiple branches and so the Cash Book Clerk is capturing for Durban, Johannesburg Johannesburg, Cape Town and Namibian branches The Cash Book Clerk will need to work with a Rand account, Dollar
AI. Inviting applications for the role of Store Cash Accounting - Management Trainee – English- Hybrid Generating [VG] roadmaps. Daily management of cash controls , Petty Cash, Store own use – Ensuring accurate capturing balancing of store takings. Reconcile and clear cash management journals integrated to the theoretical theoretical banking on SAP on a daily basis Review petty cash documents weekly as well as complete a schedule daily basis Complete balance sheet recons for all cash accounts Liaise with the regional banking team with