Duties and Responsibilities
- File documents.
- Reconciling (relief).
- Check POD requirements.
- Prepare documents for scanning purposes.
- POD/Credit note register.
- POD requests.
- Payments received – cash and cheques.
- Make up deposits.
- Hand over cash (Cash Company).
- Cash and cheque reconciliations.
- Admin and other ad hoc functions
Requirements
- Grade 12 with Maths