office administration and assisting operations by carrying out first line support to clients, dispatching also be responsible to instruct and co-ordinate the cash replenishment process for our ATMs, while ensuring ensuring that 3rd parties adhere to and uphold our cashing processes while communicating any potential risks external 3rd parties Cashing · Maintaining CIT Uptime & minimising Cashing Downtime · Ensuring that that the RIGHT amount of Cash is in the RIGHT ATM at the RIGHT time – while balancing the risk vs the
office administration and assisting operations by carrying out first line support to clients, dispatching also be responsible to instruct and co-ordinate the cash replenishment process for our ATMs, while ensuring ensuring that 3rd parties adhere to and uphold our cashing processes while communicating any potential risks external 3rd parties Cashing · Maintaining CIT Uptime & minimising Cashing Downtime · Ensuring that that the RIGHT amount of Cash is in the RIGHT ATM at the RIGHT time – while balancing the risk vs the
advantage, but not essential. carry out Wet / Mechanical services draughting work; carry out Wet / Mechanical Mechanical services Revit and CAD draughting work; carry out Wet / Mechanical Services design work; attend site
and the necessary accounting adjustments made. No cash payments to be accepted from the clients at the the counter. Approval for clients to pay in cash must be referred to the accounts department. To refer any Waybill/Express – Indemnity Telex Release – Indemnity Payment cash clients To “Order Bill of Lading” must be endorsed Shipments Customs Stop the following duties must be carried out: Email instructions to Depots, Client & for detained entry Check charges and payment for cash clients Issue DRO to clearing agent / IBOX needs
and the necessary accounting adjustments made. No cash payments to be accepted from the clients at the the counter. Approval for clients to pay in cash must be referred to the accounts department. To refer any Waybill/Express – Indemnity Telex Release – Indemnity Payment cash clients To “Order Bill of Lading” must be endorsed Shipments Customs Stop the following duties must be carried out: Email instructions to Depots, Client & for detained entry Check charges and payment for cash clients Issue DRO to clearing agent / IBOX needs
business based in Pinetown KZN.
Carrying out mechanical and electrical repairs from start other mechanical work required on motors
5. Carry out electrical windings analysis to diagnose faulty training on encoder alignment technology
7. Carry out encoder diagnostics and testing (Training to be given)
8. Replacement of encoders and carrying out encoder alignments (Training to be given)
9
profit and loss statements, balance sheets, and cash flow statements for the branch. Budgeting and forecasting: employees. Manage cash flow for the branch, including monitoring cash balances, forecasting cash needs, and and optimizing cash utilisation. Prepare ad hoc financial reports and analyses as requested by branch management
& Private offers with losses, Recovery of Quick Cash, Recovery of Personal loan arrears & monitor and cost effectively reduce losses and increase cash flow whilst reducing the Bad Debt provisions. Ensuring so as to minimize losses and costs and maximize cash flow and/or best market related offers for Properties Recoverable Bad Debt portfolio Focus on increasing cash flow and minimizing legal fees. Must ensure that adhered to and there is no cashflow or prospects of cash flow within 4 months of handover then the accounts
& Private offers with losses, Recovery of Quick Cash, Recovery of Personal loan arrears & monitor and cost effectively reduce losses and increase cash flow whilst reducing the Bad Debt provisions. Ensuring so as to minimize losses and costs and maximize cash flow and/or best market related offers for Properties Recoverable Bad Debt portfolio Focus on increasing cash flow and minimizing legal fees. Must ensure that adhered to and there is no cashflow or prospects of cash flow within 4 months of handover then the accounts
defining electrical engineering requirements; Carrying out technical evaluations, preparation of specifications for electrical infrastructure and installations; Carry out feasibility and electrical power system studies;