regards to stock control Liaison between patients, doctors and personnel Excellent interpersonal and communication
towards relevant trade. Clear criminal record. Full medicals Due to this being an immediate position, preference and who meet the minimum requirements. 47.99 - Monthly
Commercial Dealership & Workshop Ref No.: TRG 2048 Salary: Market related basic neg up to R30 000 kpm CTC Provident Fund Technician Incentive Overtime (As per policy) Standby Allowance Call out fees) Start Negotiable Traceable and contactable references Salary: Market related basic neg up to R30 000 kpm CTC Provident Fund Technician Incentive Overtime (As per policy) Standby Allowance Call out fees) Start
billing of stock utilized. After hours cover as per a roster. Conduct regular inspections. Maintain infection daily, weekly and monthly reports. Manage ad hoc projects as and when required. Salary package offered:
4705 Location: Richards Bay (KZN) Salary: R16 000 to R25 000 per month commensurate with qualification sales activities to reduce stock • Weekly and monthly order taking from customers • Capturing of sales sales activities to reduce stock • Weekly and monthly order taking from customers • Capturing of sales • Other duties as assigned R16 000 to R25 000 per month commensurate with qualification and experience
4705 Location: Richards Bay (KZN) Salary: R16 000 to R25 000 per month commensurate with qualification sales activities to reduce stock • Weekly and monthly order taking from customers • Capturing of sales sales activities to reduce stock • Weekly and monthly order taking from customers • Capturing of sales • Other duties as assigned R16 000 to R25 000 per month commensurate with qualification and experience
referrals
trade.
engineering.
Manufacturing / Engineering / Projects Ref No.: TRG 2154 Salary: Market related TCTC avail/neg ( benefits) Start Accountant, your role involves preparing and reporting monthly and quarterly financial statements, tax submissions standards and regulatory requirements. Provide monthly analysis of financial performance of the business reconciliation. Generate and analyse aging reports monthly to identify overdue payments and outstanding receivables to resolve issues and improve cash flow. Review month-end payments process to ensure accuracy, compliance