processing finance applications Sharing these for bank approval Structuring finance packages to best suit negotiations with banks Contract drawing with financial instuitions Signing up bank contracts Getting Getting deals paid out by the banks Selling of VAPS to increase revenue on the finance deals Fais compliancy
chemicals industry sectors. Cultivate strong relationships with existing clients, delivering exceptional exceptional support and service. Develop and execute strategic sales plans to surpass targets. Stay updated on communication skills to build lasting client relationships. Proficient negotiation skills with a consultative
chemicals industry sectors. Cultivate strong relationships with existing clients, delivering exceptional exceptional support and service. Develop and execute strategic sales plans to surpass targets. Stay updated on communication skills to build lasting client relationships. Proficient negotiation skills with a consultative
credit notes. Creditors – Review reconciliation, load bank payments Inventory – Costing, Reconciliation, Oversee register, Reconciliation, Depreciation, cycle counts. Banking – Monitoring and forecasting of cash flow, compiling compiling of reports, payment preparations, Bank reconciliations of local and foreign accounts, Cash management
control petty cash payments and returns. Allocate bank transfers, processing of Debtors as required and
accounts
administration. To successfully manage in-store execution of all visual merchandising, ensuring that in-store employee records are complete and submitted to HR. To execute customer service initiatives in store and take targets. To build and maintain sound working relationships with relevant stakeholders (centre managers
administration. To successfully manage in-store execution of all visual merchandising, ensuring that in-store employee records are complete and submitted to HR. To execute customer service initiatives in store and take targets. To build and maintain sound working relationships with relevant stakeholders (centre managers
processing Debtors processing Petting cash Filing Monthly Bank statements - Capturing and reconciling Creditors
and project experience