Reference: NEL011412-SH-1 The Cashier is responsible for accurately processing sales transactions, handling specific and voluntary consent to the processing and storing of such Personal Information by MPRTC and/or MPRTC's
specific and voluntary consent to the processing and storing of such Personal Information by MPRTC and/or MPRTCs
sales, service) and financial performance of the store. Leading all internal processes to ensure continuous
and AI. Inviting applications for the role of Store Cash Accounting - Management Trainee – English- , Petty Cash, Store own use – Ensuring accurate capturing and daily balancing of store takings. Reconcile for compliance as well as completeness Analyze cashier shortages/surpluses on a daily basis Complete balance the regional banking team with request from the store to process journals, Perform investigations on cash Petty Cash, RCS, Store Deposit Tender, VAS etc. Investigation of RCS queries with store & RCS Investigation
JOB DESCRIPTION Key Responsibilities: Audit and/or review high risk areas and produce quality audit reports Proactively identify and rate risk Utilise data to perform exception and trend based analysis Develop audit programmes Facilitate risk workshops Liaise extensively at a senior level with inter
candidate will be a Store Controller, reporting to the Lodge Manager.
The duties of a store controller are
Area Manager - Stores (JB4589) Rustenburg, Brits and Pretoria North R22 000 - R25 000 basic per month the performance and success of multiple retail stores and kiosks. This role includes managing operations excellent customer service. The Area Manager ensures stores are organized, well-merchandised, and compliant track record of driving sales and managing multiple stores. Previous Telco-related experience. Valid Drivers Sales Management: Oversee the performance of retail stores, DSF, and Business Consultants within the region
sales, service) and financial performance of the store. Leading all internal processes to ensure continuous
POSITION SUMMARY: Performs duties pertaining to the cashiering/banking • Attends to the Lancet Bank Recon system receipted. • Attends to the reconciliation of cashiering and day closure on the system, to eliminate customer customer complaints and report misappropriation of cashiering timeously. • Carry out adhoc duties and special