from the Ports and clients; • Complete a daily check list for the allocated truck/trailer and report collecting of containers as per instruction; • Daily check, maintenance and cleanliness of the truck; • Assist
and align Store Master data with store trading status and utility information; Ensure that all queries payments (completing RERAPP Vendor and profit centre checks); Review vendor debit balances for validity and and align Store Master data with store trading status and utility information; Ensure that all queries and align Store Master data with store trading status and utility information; Ensure that all queries payments (completing RERAPP Vendor and profit centre checks); Review vendor debit balances for validity and
requirements. Provide regular reporting on project status, track risks and follow up on outstanding items
and systems
items are stored correctly Processing returns Checking merchandise received from various sources Matric
Providing feedback to stakeholders on the technical status and delivery when required. Identifying risks and and software continuously. Conducting security checks and audits on the product. Ensuring the development cohesion, collaboration, and wellbeing. Providing status and delivery updates to the Delivery Assurance
Providing feedback to stakeholders on the technical status and delivery when required. Identifying risks and and software continuously. Conducting security checks and audits on the product. Ensuring the development cohesion, collaboration, and wellbeing. Providing status and delivery updates to the Delivery Assurance
tasks
present various reports including reports on order status, KPIs and supplier performance;
move forward. Produce weekly status reports and attending weekly status meetings. Assess risks and identify