business's suppliers timeously and in accordance with cash flow availability. While training will be provided process, ensuring payments are made on time. Monitor cash flow to ensure adequate funds for payments. Opening
shipping docs have been received Monitor vessel transit Pre-arrange collection of the cargo with the transport
shipping docs have been received Monitor vessel transit Pre-arrange collection of the cargo with the transport
forecourt tanks stock and sales, and daily and monthly cash reconciliations from the fuel court, wash bay and development and sourcing new clients. Ensuring that cash on site is banked daily. Enforce safety policies
forecourt tanks stock and sales, and daily and monthly cash reconciliations from the fuel court, wash bay and development and sourcing new clients. Ensuring that cash on site is banked daily. Enforce safety policies