variances & stock variances
include financial reporting, budget preparation, cash management, and ensuring compliance with financial financial forecasts for the region. Maintain stock and cash controls at units, ensuring compliance with financial financial reports and budgets. - Manage stock and cash controls, and oversee fixed asset management. -
Invoices Capture weekly petty cash in the relevant cash book Allocate the bank cash book daily (bank feed active)
Invoices Capture weekly petty cash in the relevant cash book Allocate the bank cash book daily (bank feed active)
the Metair Group MAIN DUTIES Cash book, petty cash, banking, as well as Cash flow projections, Ensure timely
the Metair Group MAIN DUTIES Cash book, petty cash, banking, as well as Cash flow projections, Ensure timely
/>MAIN DUTIES
Total Running Costs Lists. Petty Cash Duties Including Issuing Cash, Capturing Of Payments & Receipts Receipts, Reconciliation Of Petty Cash Books. Updating & Maintaining Of Company Asset Lists. Skills:
levels of accuracy. To ensure the safe handling of cash at all times. To support the Group's vision to be Maintain good and proper accounting records Petty cash control/receipting/collection/recording Assist the with attendance registers and overtime schedules Cash Management, banking, overseeing cashier Manage phone
levels of accuracy. To ensure the safe handling of cash at all times. To support the Group's vision to be Maintain good and proper accounting records. Petty cash control/receipting/collection/recording. Assist with attendance registers and overtime schedules. Cash Management, banking, overseeing cashier. Manage