sale (POS) Reconciling and banking POS Operating and speed point banking Experience in Customer Service
sale (POS) Reconciling and banking POS Operating and speed point banking Experience in Customer Service
discrepancies Cashbooks : Allocate all transactions Perform bank reconciliations Balance the cashbook daily Manage
discrepancies Cashbooks : Allocate all transactions Perform bank reconciliations Balance the cashbook daily Manage
creditor-related queries. Provide weekly cash flow data to the line manager. Coordinate and maintain credit
Maintain accurate and up-to-date shift-related data for reporting purposes. Generate and share shift