Telesales Consultant with RE5 (POS24157)
Salary + Commission + attendance bonus
Fourways
Requirements:
Responsibilities Develop Business Plans Sales Managers oversee the Sales department, which means they must develop an overall business plan, including sales strategies and profit goals. This includes performing territory and sales analyses, assessing the results, and adjusting sales strategies accor
running as a Floor Manager for one of our Pet centres based in Fourways with the ultimate purpose of of shop. Daily tasks and activities: Checking the cash up and banking detail daily Assist with customer key registers Weekly check and sign off of Petty Cash Maintain company policies and procedures To positively
running as a Floor Manager for one of our Pet centres based in Fourways with the ultimate purpose of of shop. Daily tasks and activities: Checking the cash up and banking detail daily Assist with customer key registers Weekly check and sign off of Petty Cash Maintain company policies and procedures To positively
allocations and assist with customer receipting queries, cash collection procedures and managing bookings in terms Consulting with other departments such as Contact Centre, Setup, Sales, etc o Cancelling bookings that are Treasury with 24 hour-turn-around time • Accept cash payments from walk-in customers • Transfers between
leading Contact Centre Solutions & Technology Provider serving numerous contact centres and agents, require practices, and emerging technologies related to contact centre solutions and enterprise software development. enterprise environment, preferably within the contact centre industry. Strong understanding of business processes approach to problem-solving. Familiarity with contact centre technologies and solutions is advantageous.
of Treasury your core function will be to oversee cash flow forecasting and liquidity management.
cash flow).
Credit Controller Large Debtors book values Manage Cash accounts Collections Strong recons Age analysis Min 5 - 8 years Full function Credit Controller Cash accounts - volumes of 300-500 monthly Invoicing
ledger postings (including sales invoices, creditors, cash book, banks)
Treasury – your core function will be to oversee cash flow forecasting and liquidity management. Duties and Monthly Management reporting (liquidity and cash flow). Management of organizations banking relationships capital, asset/liability management, foreign exchange, cash management & treasury operations. Requirements: