month CTC Permanent A leading provider of automated cash management and payment solutions within the retail vault arrears. Maintain and update SQL databases. Transition clients to debit orders or vault collections
required to come in earlier to ensure a smooth transition period) Please use the position title in the
individuals with good references. Must be skilled in cash up reconciliation, stock management, opening &
individuals with good references. Must be skilled in cash up reconciliation, stock management, opening &
Azure). Data architecture, governance, quality, security regulations and API integrations. Craft data models
schedule to be updated and provided to Management for cash meetings Preparation and maintenance of monthly analysis, review and manage with creditors clerks Petty Cash GL review and monthly approval of expenses captured
and food sales, with a proven track record of securing competitive deals and maintaining optimal stock
and food sales, with a proven track record of securing competitive deals and maintaining optimal stock
filing working papers and supporting documents to secure evidence supporting findings reported ● Performing
database Ø Collating and submission of expenses Ø Petty cash Ø Attendance registers Ø Willingness to work after