transactions including card and cash Cashing up and banking COD's Counter Sales Assisting walk in customers
transactions including card and cash Cashing up and banking COD's Counter Sales Assisting walk in customers
· Contribute to financial audits. · Monitor all bank deposits and payments. · Perform periodic financial quarterly and annual financial reports · Reconcile bank statements · Review and implement financial policies
requirements as per the FSSC standard. Dryer / Heater bank system training (Advantageous). Fault Finding -
requirements as per the FSSC standard. Dryer / Heater bank system training (Advantageous). Fault Finding -
Responsible for monthly creditor's reconciliation – Std Bank credit card, Stannic fleet cards. Liaise with AP monthly basis as per statement. Liase with Standard Bank re VISA cards, limit increase, etc Responsible for
Structure transactions to ensure quality deals are banked, lower impairments, improve investment collections/exits Development Finance Institution (DFI), commercial bank, and financial intermediary arenas Develop appropriate
Where required assist with the servicing of filter banks and back flush controllers Assist with onsite Drip
and card sales, including processing of sales, banking, doing cashups and managing the float - Understanding
funding/deal making/investment environment, business banking, venture capital environment, and/or development