Search Results: 631 vacancies
...Description:
The role holder is responsible for conceptualisation, launch, management and development of the Bank’s card products and cash management services.
Collaborates with stakeholders to generate aligned product ideas.
Owns product vision and creates roadmap...
...proactive approach towards security of freight, facility and personnel and suggest smarter work practices that will ensure that through teamwork the staff meet all KPI standard/ cash collection procedure, and our customers are continually provided enhanced services....
...Job Introduction
We are looking for a Sales Manager for our Facilities Management and Cash Solutions (Cash In Transit) Business Units. Reporting to the Managing Director, the successful candidate will be responsible for bringing in new businesses and generating sales...
...guest requests for a supervisor or manager
Ensure that a detailed hand over is carried out between shifts including the volume of... ...put the skills learned there into practice
Receives payment by cash, credit cards, cheques, etc. and is able to post these in the computer...
...to management / Help Desk when appropriate.
Handle and count cash and other payments, responsible for their reconciling payments against... ...verify required documentation, such as ID, forms, and receipts. Hand them over to the team leader at end of shift
Continuously...
...and SAP
# Leading and guiding ABAP engineers within FS Order to Cash and Payment Operations in their various projects with the FS Yin... ...with technologies like SAP CM, ABAP, Java, SAP FICO/FICA. Hands-on knowledge of SAP Convergent Mediation (CM) with abilities to...
...accurate and timeous.
·Assess organizational performance against both the annual budget and Al Salam Gas`s long term strategy.
·Ensure cash flow is properly managed to consistently meet financial obligations and that excess cash is kept to a sensible minimum
·Optimize...
...thefts by performing physical and electronic inventory as required, reporting broken alarms, incidents, suspicious activities
Handle cash register and transactions with the customers in an effective and accurate manner as required
Specific for Fashion: Take accurate...
...month end to ensure accurate documentation and financial statements.
Prepare monthly supplier statement reconciliations.
Monitor cash flow and consult with the Financial Controller and Treasury Manager
Perform reconciliations monthly to ensure that all...
...accounting policies to maintain and strengthen internal controls and a “hands-on”, problem solving approach to managing the markets’ finances.... ...operational purposes and decision making.
Manage a rolling cash flow projection for the market and work with the Finance & Admin...
...day ago Permanent Competitive
We are recruiting a Treasury specialist to join our team.
Responsibilities :
Report daily net cash position resulted from the accruing cycle, inflows from schemes and outflows to merchants
Report and follow up bank accounts...
...analysis, acquiring and evaluating new accounts, structuring credit facilities, performing credit assessment of financial statements, cash flow projections, periodic credit reviews of the existing accounts and loan documentations.
Prepare credit memoranda and other...
...and maintain the report of the same Process
- Handle the POS (Point of Sale) / Billing Counter efficiently
- Tally money in the cash till during the beginning / end of the shifts
- Issue receipts / refunds / change to the customers correctly
- Process the payments...
...relevant professional qualifications is desirable.
• Knowledge in international and local accounting standards.
• Knowledge of cash management and cash control principles and methods.
• Planning and organizing skills.
• Knowledge and experience in preparing and...
...thefts by performing physical and electronic inventory as required, reporting broken alarms, incidents, suspicious activities - Handle cash register and transactions with the customers in an effective and accurate manner as required - Specific for Fashion: Take accurate...
...Responsibilities:
– Verify data received and prepare monthly payroll
– Compliance and protection of the company financial policies
– Prepare cash reports.
– Ensure all relevant Bank accounts reconciliations are done on a monthly basis.
– Manage EOS checking and verifying....
...Hortons operating standards
- Ensures that all product and packaging is properly merchandised and stocked
- Responsible for shift cash procedures
- Maintains operational efficiency through use of the work schedule
- Supervises team members to ensure primary and...
...budget for the project.
Throughout the project, accounting tasks are performed, including the creation of invoices, estimation of cash flow, and approval of purchase orders.
Examining all transactions and incorporating unexpected expenses into the budget....
...payment discounts where economical to do so.
Collect accounts receivable promptly.
Complete regular reconciliations of all bank, cash, intercompany, AR and AP accounts.
To produce monthly financial statements and MIS within stipulated timelines.
Measure the...
...ensuring accuracy and completeness of required files and supporting documentation serving as evidence of transactions.
Ensures sound cash management of local bank accounts and maintains petty cash fund.
Processes cash disbursements in accordance with financial...