Clerk (Pricing/Receiving Clerk) maintains Retail Systems (SS3) on an ongoing basis by performing input and claims; input category stock takes; and provide systems support for inventory control. KEY PERFORMANCE Hygiene & housekeeping Ordering Promotions Spar system 3 back ups Matric / NQF level 4 equivalent with experience working with computers Knowledge: Retail Systems Retail Product Knowledge Shrinkage Kindly note: retained as part of your employee portfolio and secured accordingly. This information is given to us, by
Clerk (Pricing/Receiving Clerk) maintains Retail Systems (SS3) on an ongoing basis by performing input and claims; input category stock takes; and provide systems support for inventory control. KEY PERFORMANCE Hygiene & housekeeping Ordering Promotions Spar system 3 back ups Matric / NQF level 4 equivalent with experience working with computers Knowledge: Retail Systems Retail Product Knowledge Shrinkage Kindly note: retained as part of your employee portfolio and secured accordingly. This information is given to us, by
and assess risks and controls across various IT systems and infrastructure. Enhance audit programs based Minimum Qualifications: Degree in Information Systems or related field. Professional qualification in SQL, IDEA, ACL, and other data mining tools. Security or cloud reviews, IT risk assessments, and models
and
administrative work.
- To manage PMS system settings & keep all databases up to
date
- Allocation of bank transfers on the PMS system on a daily basis,
& reconciliation to
cash vouchers and relevant
documentation are securely and systematically kept, & that
petty
expenses and trends. System Maintenance: Ensuring the integrity and security of payroll systems, including software
trends.
trades and update transactions on the accounting system to ensure accurate and timely delivery of the NAV actions to ensure securities are updated and valued correctly on the accounting system and no asset pricing
trades and update transactions on the accounting system to ensure accurate and timely delivery of the NAV actions to ensure securities are updated and valued correctly on the accounting system and no asset pricing
trades and update transactions on the accounting system to ensure accurate and timely delivery of the NAV actions to ensure securities are updated and valued correctly on the accounting system and no asset pricing
trades and update transactions on the accounting system to ensure accurate and timely delivery of the NAV actions to ensure securities are updated and valued correctly on the accounting system and no asset pricing