schedule/register and assist with provisions of accruals for cash out forecast. Assist in updating risk management control and reconciliation (impress system/petty cash) Participation in Site Suppliers evaluation, commercial
schedule/register and assist with provisions of accruals for cash out forecast.
Assist in updating risk management
control and reconciliation (impress system/petty cash)
Participation in Site Suppliers evaluation
/>6. Process sales transactions accurately through cash registers or point-of-sale systems.
7. Collaborate
Client in the financial services / POS / cash management solutions sector requires a results driven Business
Company assets (building, fixture and fittings, petty cash, stock and vehicles)
• Manage the Change of