L002069-AK-1 New Position We invite candidates to apply for the Finance Manager position for our client cashflow projections. Regular meetings with the Credit, Stock and Accounts Payable Manager. Assessing every month. Dealing with external sources – Banks, Credit Bureaus, and other 3rd party institutions. Dealing providers. Ad hoc – assisting the Credit Manager with assessing credit limits on new customers. Managing
email. Client management skills. By submitting any Personal Information to MPRTC in any form you acknowledge consent to the processing and storing of such Personal Information by MPRTC and/or MPRTC's clients and/or to criminal, fraud, ITC and employment reference checks may be conducted. Should you have not been contacted also have the right to request us to delete your personal information by contacting us.
Port Elizabeth team on a maternity contract, · Applying for leave on the bargaining councils online portal drawing up employment contracts · Assisting with checking timesheet on ERS (biometric system) · Grade 12
Port Elizabeth team on a maternity contract, · Applying for leave on the bargaining councils online portal drawing up employment contracts · Assisting with checking timesheet on ERS (biometric system) · Grade 12
on a complete understanding of the customer's personal and financial circumstances – and their goals Programme which will qualify you to operate as a Personal Financial Adviser Payment of a Living Allowance equivalent qualification A clear criminal record A clear credit record Valid Driver's License Access to a vehicle
on a complete understanding of the customer's personal and financial circumstances – and their goals Programme which will qualify you to operate as a Personal Financial Adviser Payment of a Living Allowance equivalent qualification A clear criminal record A clear credit record Valid Driver's License Access to a vehicle
daily queries at store level.
Fixed
daily and follow-up of over/under banking.
to daily queries at store level. Completion of credit application and other forms. Fixed Assets Maintenance daybooks daily and follow-up of over/under banking. Checking of daybooks and daily sales summaries and follow-up
declarations and ensure completeness of these documents. Apply for, and renew permits. Ensure that all registers declarations. Check captured import and export documents for correctness and completeness. Checking for the SMD's, EU and SADC Declarations to client for checking, signature and submission to OEM's. Attend to
declarations and ensure completeness of these documents. Apply for, and renew permits. Ensure that all registers declarations. Check captured import and export documents for correctness and completeness. Checking for the SMD's, EU and SADC Declarations to client for checking, signature and submission to OEM's. Attend to