quality. RESPONSIBILITIES Work with team leader / supervisor to achieve planned operational targets. Perform challenges and report any deviations to the immediate supervisor. Adhering to discipline procedures in accordance
Continuously liaising with supervisors and team Continues liaison with the Shift Supervisor or Shaft Foreman in
Consultant Team and boost sales by nurturing key account connections. It is paramount to guarantee efficiency Must have a minimum of 2 years in a managerial/supervisor role Tourplan proficiency Duties include: Reservations customer and operators’ business requirements Accounts Oversee adherence to processes in invoicing, Paper Paper trail, etc. Assist the team in resolving account queries Demonstrate an understanding of cost, profit
Continuously liaising with supervisors and team Continues liaison with the Shift Supervisor or Shaft Foreman in
Continuously liaising with supervisors and team Continues liaison with the Shift Supervisor or Shaft Foreman in
fund units report and updating and adding client accounts on our third-party funds supplier for our active portfolios and regular monitoring of funds and accounts on various platforms. Process and execute financial opening of new client accounts, support with phasing of various investment accounts and help implement any any changes required to client accounts, trading accounts disbursements etc. Engage and manage other effect to instructions to: open accounts, switch investments, close accounts, obtain investment statements
reconciliations, tax submissions and management accounts. At least two-years experience bookkeeping to huge advantage. Technical knowledge of tax and accounting principles. Experience in dealing with SARS returns
discretion and professionalism. Compile daily bank account activity reports for Directors. Proactively identify transfers, correspondence with attorneys and municipal account registrations. Manage and organize the Directors
discretion and professionalism. Compile daily bank account activity reports for Directors. Proactively identify transfers, correspondence with attorneys and municipal account registrations. Manage and organize the Directors
Contract Clients from said timesheets. Assist Accounts Department in providing information and answering application and calculations. Assistance with Supplier accounts, basic bookkeeping functionality filling and related