join our dynamic team, based in Brits (North West). Bank processing and reconciliations. Preparing monthly reconciliation. Processing and reconciling of petty cash and cash control accounts. Keeping of a fixed asset register
Knowledge of the CIT retail industry as well as Cash Management services. Fleet Management. Management Branch Financial Monthly Operating Service- Cost Control/CPS. Management of various security features i Planning • Leadership • Organisational skills • Control Matric certificate, PSIRA Grade A registration accreditation. At least 5 years' experience in the Cash in Transit Industry. Working knowledge of ISO 9001:2008
compiling yearly and five yearly budgets Ensure cost control in area of responsibility Do variance analysis (CAPEX application) Project Cash Flow Forecasting Project Budget cost control & reporting (project execution)
(4GL) Admin related functions i.e. cash up, invoicing, receiving cash etc SKILLS / BEHAVIOUR REQUIRED:
(4GL) Admin related functions i.e. cash up, invoicing, receiving cash etc SKILLS / BEHAVIOUR REQUIRED:
(4GL) Admin related functions i.e. cash up, invoicing, receiving cash etc SKILLS / BEHAVIOUR REQUIRED:
(4GL) Admin related functions i.e. cash up, invoicing, receiving cash etc SKILLS / BEHAVIOUR REQUIRED:
(4GL) Admin related functions i.e. cash up, invoicing, receiving cash etc SKILLS / BEHAVIOUR REQUIRED:
(4GL) Admin related functions i.e. cash up, invoicing, receiving cash etc SKILLS / BEHAVIOUR REQUIRED:
code of conduct. The role exists to have full control, visibility, and management of all of Santam's line. The value this role contributes is that it controls, manages, and has line of sight of all Santam's is auction-ready, income is generated, and money banked. Key Responsibilities Generic Conducts the follow-ups