position of a Accounts Payable Technician / Alternate Cashier in the Financial Management Office (FMO). Job Overview Overview The Voucher Examiner / Alternate Cashier works in the Regional Financial Management Office and as Voucher Examiner, when serving as Alternate Cashier, the position received direction from the SFMO Principal Class "B" Cashier at post responsible for the full range of cashiering duties in support of take on the CLASS-B Cashier's accountability and/or have a permanent Alternate Cashier Advance, when executing
Reference: PTA007349-Shell-1 LITIGATION TYPIST (LEVY COLLECTIONS), Pretoria East. We are looking for a litigation TYPIST (LEVY COLLECTIONS), Pretoria East. We are looking for a litigation typist with the following requirements:
Reference: PTA007349-Shell-1 LITIGATION TYPIST (LEVY COLLECTIONS), Pretoria East. We are looking for a litigation TYPIST (LEVY COLLECTIONS), Pretoria East. We are looking for a litigation typist with the following requirements:
management reporting, ITIL Ops: Azur Cloud, Linux and Shell, Tomcat, GitHub, GitHub Actions, Logstash, Influx testing, REST, Swagger, Jira, Confluence, Python Any additional responsibilities assigned in the Agile
Reference: PTA007345-Shell-1 JNR ATTORNEY – Experience in Litigation & Insolvencies required for
Reference: PTA007345-Shell-1 JNR ATTORNEY – Experience in Litigation & Insolvencies required for
Reference: PTA007346-Shell-1 Candidate ATTORNEY – required for a small firm in the Lynnwood region. Email
Reference: PTA007346-Shell-1 Candidate ATTORNEY – required for a small firm in the Lynnwood region. Email
the safe When cash ups are done, ensure that the cashiers balance. If there are shortages or over banking responsibility of the Admin Controller and the Cashiers. These must be checked, and spot checks must be RTS is done on a regular basis Spot checks on Cashiers to be conducted Controlling of the change daily Word and Excel. 2 – 5 years in relevant sales / cashier environment COMPETENCIES Analytical Thinking Financial
the safe When cash ups are done, ensure that the cashiers balance. If there are shortages or over banking responsibility of the Admin Controller and the Cashiers. These must be checked, and spot checks must be RTS is done on a regular basis Spot checks on Cashiers to be conducted Controlling of the change daily Word and Excel. 2 – 5 years in relevant sales / cashier environment COMPETENCIES Analytical Thinking Financial