Analyst to join their JHB team on-site on a contract till December 2024.
Responsibilities:
financial excellence. Conduct daily reconciliations of Till Cash Ups for all payment tender types, ensuring financial transactions on the retail point of sale tills. A minimum of Grade 12; further certification in
Our client, a fully-integrated producer, packer, and marketer based in the Citrusdal Valley, Western
sales (POS) system updates (Activate and de-activate till users)
Only
issues, and balances.) Weekly reconciliation of Sage Tills against e-health and the Sales ledger and reporting
issues, and balances.) Weekly reconciliation of Sage Tills against e-health and the Sales ledger and reporting
cheques received - CASHIER
all cash and cheques received - CASHIER Reconcile till account – CASHIER Input of Salary Deductions - CASHIER
opportunity to submit your CV for this position till 22 May 2024.
Please Note:
credit notes • Assist with company cash up • Cash up tills, assist sales staff with overrides and queries.