Knowledge of the CIT retail industry as well as Cash Management services. Fleet Management. Management accreditation. At least 5 years' experience in the Cash in Transit Industry. Working knowledge of ISO 9001:2008
cancel or deposit winnings Check float Balance cash on hand Relief Supervisory Duties Supervise Operators Conduct checks on the floor Conduct check on operator cash Assistant People Development Assist with the completion
cancel or deposit winnings Check float Balance cash on hand Relief Supervisory Duties Supervise Operators Conduct checks on the floor Conduct check on operator cash Assistant People Development Assist with the completion
Orders. The Open Orders are to be cascaded into the “cash Flow” report, which is reviewed weekly with Finance Finance. The accuracy of the delivery dates impacts cash flow planning, and maintenance is critical. The
Orders. The Open Orders are to be cascaded into the “cash Flow” report, which is reviewed weekly with Finance Finance. The accuracy of the delivery dates impacts cash flow planning, and maintenance is critical. The
the finance department to manage budgets, monitor cash flow, and ensure financial integrity. Qualifications:
daily communication. Finance Management: Budget, cash, debtors and revenue management. Customer Liaison:
daily communication. Finance Management: Budget, cash, debtors and revenue management. Customer Liaison:
with existing and new collection orders, card and/ cash payments or stock related questions they might have
Returns-Weekly Casuals report -daily Petty report cash – monthly Fuel report – monthly Overtime report