Facility (In coordination with Sales / Debtors Team). Cash Flow Planning work, in conjunction with Director
Facility (In coordination with Sales / Debtors Team). Cash Flow Planning work, in conjunction with Director
stock training, income statement training and daily cash reconciliation training. Assist with the budget
stock training, income statement training and daily cash reconciliation training. Assist with the budget
investigate any stock loss Check all banking in terms of cash deposit and credit card sales are correct. All discrepancies
investigate any stock loss Check all banking in terms of cash deposit and credit card sales are correct. All discrepancies