campaigns · Coordinate with Grad bay Manager to help transition agent from Training to Grad bay as per expectations Improvement · Coordinate with Grad bay Manager to help transition agent from Training to Grad bay as per expectations
system to ensure a successful quoting to delivery transition with consideration for the factory planning requirements
system to ensure a successful quoting to delivery transition with consideration for the factory planning requirements
also be responsible to instruct and co-ordinate the cash replenishment process for our ATMs, while ensuring ensuring that 3rd parties adhere to and uphold our cashing processes while communicating any potential risks external 3rd parties Cashing · Maintaining CIT Uptime & minimising Cashing Downtime · Ensuring that that the RIGHT amount of Cash is in the RIGHT ATM at the RIGHT time – while balancing the risk vs the where necessary · Managing cash efficiencies · Coordinating and preventing cash outs · Providing feedback
also be responsible to instruct and co-ordinate the cash replenishment process for our ATMs, while ensuring ensuring that 3rd parties adhere to and uphold our cashing processes while communicating any potential risks external 3rd parties Cashing · Maintaining CIT Uptime & minimising Cashing Downtime · Ensuring that that the RIGHT amount of Cash is in the RIGHT ATM at the RIGHT time – while balancing the risk vs the where necessary · Managing cash efficiencies · Coordinating and preventing cash outs · Providing feedback
to a minimum
to agreed time scales. Produce detailed quarterly cash flow forecast to form the basis for the working requirements. Accountable for budget, forecasts and to secure good cost management within own responsibility
to agreed time scales. Produce detailed quarterly cash flow forecast to form the basis for the working requirements. Accountable for budget, forecasts and to secure good cost management within own responsibility
distribute daily mail/deliveries. Maintain office security by controlling access via the reception desk. supplies and keep inventory of stock. Control of petty cash. Keep updated records of office expenses and costs
distribute daily mail/deliveries. Maintain office security by controlling access via the reception desk. supplies and keep inventory of stock. Control of petty cash. Keep updated records of office expenses and costs