Experience & Skills Required: Cash book recons Handling of company Petty Cash Manage company's credit cards
and Company Description: As a leading company in security, this company always challenges the status quo manage financial department Review accountants work Cash management Manage debtors and creditors Budget Forecasts
and Company Description: As a leading company in security, this company always challenges the status quo manage financial department Review accountants work Cash management Manage debtors and creditors Budget Forecasts
Treasury – your core function will be to oversee cash flow forecasting and liquidity management. Duties and Monthly Management reporting (liquidity and cash flow). Management of organizations banking relationships capital, asset/liability management, foreign exchange, cash management & treasury operations. Requirements:
Treasury – your core function will be to oversee cash flow forecasting and liquidity management. Duties and Monthly Management reporting (liquidity and cash flow). Management of organizations banking relationships capital, asset/liability management, foreign exchange, cash management & treasury operations. Requirements:
Accounts Receivable Controller you will ensure that cash is collected from the allocated customers within timeliness in invoicing and statement issuance Driving cash collection efforts for assigned customers Serving the master data team Providing accurate data for cash flow forecasting to the AR Team Lead Organizing
regularly. Process cash transactions and maintain records. Assist in preparing cash flow forecasts and entries. Liaise with other departments regarding cash-related matters. Support financial audits by providing
Accounts Receivable Controller you will ensure that cash is collected from the allocated customers within timeliness in invoicing and statement issuance Driving cash collection efforts for assigned customers Serving the master data team Providing accurate data for cash flow forecasting to the AR Team Lead Organizing
regularly. Process cash transactions and maintain records. Assist in preparing cash flow forecasts and entries. Liaise with other departments regarding cash-related matters. Support financial audits by providing
and policies. Cash Management: Reconcile daily and monthly cashbooks, and manage cash flow effectively accuracy and completeness. Petty Cash Management: Reconcile petty cash transactions and ensure proper accounting