Crescent Star Pty Ltd is a privately-held investment company based in La-Lucia, Durban. The company is
conducting bulk stock checks
suppliers.
weekends and bank holidays Checking and follow up of work reports Checking and arranging signing of timehseets weekends and bank holidays Checking and follow up of work reports Checking and arranging signing of timehseets
Loader Ensure standard checks are completed each day before operating These checks include, but are not limited to: Oil, breaks, tyres, as specified in check list Upkeep and maintenance of machine at the end
update vessels arrival date in the system daily by checking the port position list from the operations dept board for release and invoice clerks to follow. To check tracking System and monitor the date and time the the FCL containers left the terminal to check if the correct port storage cost were collected from the after approval by the section Director and same checked and reconciled against the vessel's bill to container debtors to investigate and do the following: - To check parties responsible for updating Navis. If the Port
update vessels arrival date in the system daily by checking the port position list from the operations dept board for release and invoice clerks to follow. To check tracking System and monitor the date and time the the FCL containers left the terminal to check if the correct port storage cost were collected from the after approval by the section Director and same checked and reconciled against the vessel's bill to container debtors to investigate and do the following: - To check parties responsible for updating Navis. If the Port
department gross profits.
bank holidays
Promote good working relations with Stake Holders Check and advise on tariffs used on accounts. Provided external stake holders. Check & approve Payments. Receive invoices and check payment request for accuracy Promote good working relations with Stake Holders Check and advise on tariffs used on accounts. Provided external stake holders. Check & approve Payments. Receive invoices and check payment request for accuracy