revamps, tenant installations, inspections and general building administration. This position will require
Professional and respectful attitude towards co-workers at all times. Working efficiently. High level of Professional and respectful attitude towards co-workers at all times. High level of punctuality at all
effectively. Complaints should be reported to the General Manager. Liaise with maintenance contractors and and/or adjustments needed at the units. Inform the General Manager of all events/incidents taking place. Order of goods and services on the instruction of the General Manager. Maintain and keep up-to-date filing and and produce accurate records as delegated by the General Manager or Head Office. Preparation of invoices by the General Manager. Complete daily/weekly/monthly financial returns as delegated by General Manager
purpose of this position is to perform various general accounting support tasks within the Financial Services new problems within a familiar context. Perform general accounting duties and reconciliations in accordance defined context to relevant stakeholders. Perform general administration tasks, including the preparation
purpose of this position is to perform various general accounting support tasks within the Financial Services new problems within a familiar context. Perform general accounting duties and reconciliations in accordance defined context to relevant stakeholders. Perform general administration tasks, including the preparation
Clerk to join their team. Key responsibilities: General admin Debtors and Creditors Quotes Invoicing Following
function (including all general ledger accounts and inventory).
clients, including site visits, presentations and general communication CORE FUNCTIONS Project scoping and measurements, including post-processing of data. General engineering support to clients and internal team assemblies and configurations. Able to generate general arrangement and manufacturing drawings. Microsoft
Overseeing Full Accounting function ( Including ALL General Ledger Accounts) Balamce Sheet reconciliations