and growth. They establish strategies that will earn profits, oversee accounting operations, produce feasibility studies. Monitoring expenditure. Monitoring cash flow. Evaluating investments. Overseeing audit and
and Management
Duties and Responsibilities: Capturing of numerous cash books Processing of supplier invoices Compiling
overtime, and staff discounts
and contact sales Main Responsibilities: To assist cash and walk-in Customers. To assist with telephonic
reimbursements, overtime, and staff discounts Performed petty cash reconciliations Capture supplier invoices on SAP
and contact sales Main Responsibilities: To assist cash and walk-in Customers. To assist with telephonic
expense reconciliations • Providing clients with Tax Cash Flow Planning (forecasting future Tax Payable and
is a developer or technology specialist? We pay cash for successful referrals
administration) Payment processing Ensure efficient cash planning (Transfers and payment scheduling) Current