Thornville (PMB) Daily Capturing of high volume and sometimes complex orders Ad Hoc capturing of Cash sales and and creating quotes Daily checking of COD bank statement for payments Checking Delivery of Orders Filing
Thornville (PMB) Daily Capturing of high volume and sometimes complex orders Ad Hoc capturing of Cash sales and and creating quotes Daily checking of COD bank statement for payments Checking Delivery of Orders Filing
stock control, receipts, issuing transfers, data capturing, overseeing off -site , Newcastle and Durban and consumables, periodic stock counts, updating data on BPO, customer queries, processing defect reports
stock control, receipts, issuing transfers, data capturing, overseeing off -site , Newcastle and Durban and consumables, periodic stock counts, updating data on BPO, customer queries, processing defect reports
accounts - customers, taking orders, accurate data-capturing on the OMNI Accounting system, accounts, correspondence
accounts - customers, taking orders, accurate data-capturing on the OMNI Accounting system, accounts, correspondence
in preparing for annual external audits Perform banking functions Client Admin Support: Process client documents and cash flows for processing Input client data accurately into the system Requirements: Tertiary
renewed policies by the insurers Amendments - Capture all changes and cover requested by client and forward
statements for debtors. - Ensure all the expenses are captured so that we may run management accounts. Must have
maintain service providers terms & conditions Capturing and paying all invoices on SYSPRO Company policies representation of company interests Payroll: Capturing & checking payroll monthly / Keeping payroll submissions of IRP5's and Return of Earnings / Claims Capturing time & attendance on Beyond Attendance Seta