your province. Our four treatment facilities, one transit site and 100-strong fleet of vehicles are ready
levels.
inventory levels. Handle daily cash management, including reconciling cash drawers and bank deposits. Prepare
inventory levels. Handle daily cash management, including reconciling cash drawers and bank deposits. Prepare
daily and monthly reporting, daily cash flow, forecasting of cash flow regarding operational requirements
earthworks volumes accurately. Cost Control and Cash Flow: Monitor project costs, draw up subcontract agreements, and process payments. Ensure efficient cash flow and retention management. Safety and Compliance:
sanitation, customer service, and security including cash handling, locked storage of product, and recognising confident self-leader Actively participate in required training and education. This role routinely uses standard experience in a related field OR industry-recognized training or education in a related field. Requirements:
sanitation, customer service, and security including cash handling, locked storage of product, and recognising confident self-leader Actively participate in required training and education. This role routinely uses standard experience in a related field OR industry-recognized training or education in a related field. Requirements:
compilation of pro - forma quotes per SOP – Yes – Training done Accurate and timeous compilation pro - forma related reporting thereof – Once a year – Needs training on this Management and maintenance of customer completed orders payments as a basis for forecasting cash flow and accurate allocation of payment to customer
of documents General office duties Handling petty cash Desired Skills: Customer service Verbal & Written