ultimately transitioning the client relationship to the Customer Care Team once a sale is secured. Requirements:
BBL Security Products, a security wholesaler based in Brooklyn Cape Town, is looking to employ a full Reconciliation Bank Statement Reconciliation Petty cash allocation and reconciliation Manage Daily Banking
store consistently maintains QSVC standards for security, safety, ambiance, and cleanliness. · Executes readily addresses variances · Strict adherence to cash handling procedures as per Company Policy · Monitor possible) and in specific accordance with the Company’s cash handling policy SUPERVISORY RESPONSIBILITIES · Manages
statements, balance sheets, depreciation statements, cash flow, debtor and creditor lists, repayment schedules short-term financial requirements; maintain the cash management programs; participate in the financial custody, control and disbursement of funds and securities as well as the entity banking, credit and investment
and services to customers. You will also handle cash and perform various administrative tasks. Must have literacy, background in the KYC of clients, balancing cash at end of day. To be discussed based on experience
and services to customers. You will also handle cash and perform various administrative tasks. Must have literacy, background in the KYC of clients, balancing cash at end of day. To be discussed based on experience
Assistant will be responsible for credit control, petty cash, finance, communication, and accounting.
recipients in a timely manner. Securing packages to prevent damage during transit. Obtaining recipients' signatures
recipients in a timely manner. Securing packages to prevent damage during transit. Obtaining recipients' signatures
Management of all security installations at the Estate in line with the HA's Security policies and procedures all building activities Security installations Ensure that all aspects of security policies and procedures letter of the security policies and procedures. Implementation and training of security policies with employees, residents and contractors. Ensuring all security enrolments are done as prescribed and indemnity in the security policies and procedures. Management of all agreements with external security service