for the inspection of all incoming parts from supplier companies and internally produced automotive component KEY RESPONSIBILITIES Solving of customers and internal tasks Verification of Quality Matrix of efficiency Representative) incl. KBA audit responsibility Internal External audits Fulfilment, LPA, VDA 6.3., Customer Policy Manual. Follow requirements resulting from internal company regulations and directives. Exercise continues
services industries that are located in Western Cape. All of the positions are based full time at the company's relocation assistance is provided for this role. All positions will require finance candidates that have creditors ageing and follow up (and cleaning) of all balances older than current. Including but not limited Risk Management Embed a risk culture and document all processes and procedures in area of responsibility Compliance Maintain up to date with developments in International Financial Reporting Standards Stay current with
effective communication channels to inform management on all aspects of company finance. Develop financial reports and aligned with the reporting requirements of internal and external stakeholders Foster a collaborative and aligned with the reporting requirements of internal and external stakeholders Foster a collaborative performance Conducting thorough analysis and considering internal and external factors, to anticipate potential preparation of annual financial statements, including all reconciliations of income statement and balance sheet
Communicate weekly data reports to suppliers and internal stakeholders. 6. Collaboration: Collaborate with
and stores. Manager to manage stock and stores and all stores staff and systems. Previous experience with
Collaborate with the maintenance team to ensure all machinery and equipment operate efficiently and effectively and safety protocols. Maintain accurate records of all maintenance and repair work conducted. Provide support
trong>Cashbooks:
statements Resolve any discrepancies Cashbooks : Allocate all transactions Perform bank reconciliations Balance
statements Resolve any discrepancies Cashbooks : Allocate all transactions Perform bank reconciliations Balance