“Sales Representative – Food Services (JB4426) Cape Town, Western Cape R15 000 CTC plus commission Permanent Permanent A leading food and beverage company is expanding its offering to include food distribution and with customers, and driving sales growth in the food services sector. Minimum Requirements: Bachelors the South African food services market 2 – 5 years of sales experience in the food services industry restaurants, hotels, catering companies, and other food service providers. Build and maintain strong relationships
the travel retail sector, specializing in retail food & beverages, duty-free products, and technologies maintenance Evaluation and processing of standing journals and goods in transit reconciliation Completion the general ledger Preparation and processing of journals Revaluation of accounts payable, receivable, and
service departments, including Butchery, Bakery, Hot Foods, and Produce. This role requires a disciplined approach with a strong background in Butchery, Bakery, Hot Foods, and Produce departments. Strong leadership and operations of service departments: Butchery, Bakery, Hot Foods, and Produce. Ensure compliance with all health
Our advanced feed solutions are at the origin of food for millions of consumers worldwide. Quality, innovation natural resources, our ambition is to meet the rising food needs of a growing world population in a sustainable
Our advanced feed solutions are at the origin of food for millions of consumers worldwide. Quality, innovation natural resources, our ambition is to meet the rising food needs of a growing world population in a sustainable
years, our client didn't become the world's leading food and beverages brand by chance. Perfection is at to business questions and challenges within the food and beverage market. They will Initiate and own
requested administrative tasks
· Understanding of food and beverages
· Able to understand an instruction
qualification. Bookkeeping to trial balance including journals. Excellent analytical, problem-solving, and organizational
payments on all bank accounts. Assist with monthly journals and month-end entries. Assist with audits as necessary
accurate records of financial transactions, including journal entries, ledgers, and reconciliations.