customers Handling petty cash / cashbox / refunds Ensuring correct method of payments (cash/eft/card) is received Welcome and greet customers Manage point-of-sale or cash register processes Administration Duties Printing
customers Handling petty cash / cashbox / refunds Ensuring correct method of payments (cash/eft/card) is received Welcome and greet customers Manage point-of-sale or cash register processes Administration Duties Printing
minutes and action notes. · Coordinating project transition to analysis, design, development, testing, training
and updating of bank reconciliation Weekly petty cash reconciliation, including transfers from branches
recommendations for approval or rejections Ratio, cash flows and trend analyses as well as creating projections
recommendations for approval or rejections Ratio, cash flows and trend analyses as well as creating projections
experience Duties: Budgets Balance sheets Costing Cash flow statements Prepare financial statements Reconciliations
experience Duties: Budgets Balance sheets Costing Cash flow statements Prepare financial statements Reconciliations
reconciliation Weekly petty cash reconciliation, including transfers from branches and cash up from debtors clerk
transactions to journals, ledgers, and other records Petty Cash Accpac – Forklifts. Reconcile accounts payable transactions