equip mass transit vehicles such as metro cars and light rail vehicles, as well as freight trains, locomotives locomotives, long-distance passenger trains and high-speed trains, with highly advanced products. Along with day to day supply chain management as well as training on SAP R/3 Materials Management. No experience
equip mass transit vehicles such as metro cars and light rail vehicles, as well as freight trains, locomotives locomotives, long-distance passenger trains and high-speed trains, with highly advanced products. Along with day to day supply chain management as well as training on SAP R/3 Materials Management. No experience
offerings, Service Contract offerings, Tyres, Driver Training, Load Testing and inhouse engineering. Overall and to explain how these needs could be met (training etc) Visiting new customers to ensure safe operation standards and legal requirements by promoting Driver Training and load testing. Inform and resolve customers' debtor's disputes and assist with cash collections. Experience and Training in similar Sales and Marketing
SAP environment (Treasury, Banking, Cash Management, In-House Cash, Multi-Banking-Connectivity) Work rotation documentation Enable end user knowledge transfer and training Work closely with other functional consultants Service Management (ITSM) OPS Advanced Training OPS Basic Training Problem Management (PM) Release Planning project Ability and willingness to coach and give training to fellow colleagues and users when required Willing
NPO or NGO essential Duties include: Budgeting and Cash Flow Forecast Draft an organizational budget for to draft cash-flow forecasts for the upcoming months Monitor cash flow Management of the cash flow of together with control of all bank accounts, petty cash floats and organizational debit cards Handle all workshops and bootcamps, and ensure an appropriate cash flow policy underscores the governance Accounting
finding.
Creditors, Banking & Cash management:
Lease Man
system automation in the AP function for staff training and resolution.
Atlas area. Check Driver Ledger Daily for Driver Cash short & Outstanding EFT payments. Prepare journals and send to manager for approval. Verify Driver CASH SHORT and Reported to DM's to follow up with their the error with Recon Clerk to modify. Report of CASH Short Daily. Reconcile Driver Accounts Weekly, report
onboarding process for new hires, ensuring a smooth transition into the organization.
Provide guidance and support to instructors transitioning to the blended learning model.
â Stay
required.
â Experience in digital skills training or technology-related fields.
â Knowledge
done outside the system (FNB) Cash book and Bank reconciliation Conduct cash book entry to reconcile with Monthly Bank reconciliations Do credit card and petty cash reconciliations Prepare reconciliations for Corporate statements reconciliation Cash flow reconciliation and Budget monitoring Compare cash flow against trial balance