safety standards, and optimizing the logistics operations to reduce costs and improve service levels. Operations dispatch of perishable goods. Monitor inventory levels and coordinate with procurement and sales teams compliance with all relevant food safety and quality standards (e.g., HACCP, FDA, USDA). Implement and maintain to streamline operations. Ensure accurate data entry and reporting in logistics and inventory management fresh food logistics. Customer Service: Ensure high levels of customer satisfaction by maintaining the quality
safety standards, and optimizing the logistics operations to reduce costs and improve service levels. Operations dispatch of perishable goods. Monitor inventory levels and coordinate with procurement and sales teams compliance with all relevant food safety and quality standards (e.g., HACCP, FDA, USDA). Implement and maintain to streamline operations. Ensure accurate data entry and reporting in logistics and inventory management fresh food logistics. Customer Service: Ensure high levels of customer satisfaction by maintaining the quality
Project Manager (Banking) will be responsible for managing and delivering medium-sized banking projects from timeline. Projects may include implementations of new banking systems, regulatory compliance initiatives, operational aligning with the overall business strategy of the bank. Project Planning and Initiation: Develop comprehensive progress and ensure milestones are met. Implement banking-specific best practices and regulatory requirements potential project risks, especially those related to banking regulations and compliance, and develop mitigation
balance sheet reconciliations. - Journal Entries: Process journal entries. - Payment Instructions: Prepare payment financial statements in accordance with industry standards and regulatory requirements. - Reporting: Assist
balance sheet reconciliations. - Journal Entries: Process journal entries. - Payment Instructions: Prepare payment financial statements in accordance with industry standards and regulatory requirements. - Reporting: Assist
Mid-Level Accountants: Ready to take your accounting skills to the next level? As a Mid-Level Accountant auditing skills and gain valuable experience. Mid-Level Auditors: With some auditing experience under your you're ready for more responsibility. As a Mid-Level Auditor, you'll conduct thorough audits, analyze leadership will be crucial in upholding the highest standards of financial accountability. Apply today and take transactions accurately in accounting software. Reconciling bank statements and accounts payable/receivable. Supporting
Reference: NWI001852-HSM-1 Head of Channels - Banking Industry Leader Expanding into Namibia Are you you passionate about driving innovation in banking channels and delivering cutting-edge solutions to customers the Namibian market and revolutionize the way banking services are delivered. Job Summary: As the Head settlement platforms, as well as developing the bank's capacity in people, skills, and knowledge. Key touch points such as ATMs, cards, e-banking, and mobile banking platforms Identify and seize opportunities
Reference: NWI001852-HSM-1 Head of Channels - Banking Industry Leader Expanding into Namibia Are you you passionate about driving innovation in banking channels and delivering cutting-edge solutions to customers the Namibian market and revolutionize the way banking services are delivered. Job Summary: As the Head settlement platforms, as well as developing the bank's capacity in people, skills, and knowledge. Key touch points such as ATMs, cards, e-banking, and mobile banking platforms Identify and seize opportunities
required acquittals Completion of customs bill of entries at the end of the accounting period of excise account monthly and quarterly basis Verifying bill of entries for customs purpose Act as company representative cargo records on the system. Verifying bill of entries for Customs purposes. Obtain Customs release for fraudulent activity. Completing customs bill of entries at the end of the accounting period of the excise account (when required). Completing customs bill of entries for cargo moved to a warehouse not submitting excise
required acquittals Completion of customs bill of entries at the end of the accounting period of excise account monthly and quarterly basis Verifying bill of entries for customs purpose Act as company representative cargo records on the system. Verifying bill of entries for Customs purposes. Obtain Customs release for fraudulent activity. Completing customs bill of entries at the end of the accounting period of the excise account (when required). Completing customs bill of entries for cargo moved to a warehouse not submitting excise