Currently Looking for Banking Sales Consultants for the below areas: Johannesburg South, East Rand and revenue and collections targets as defined by the bank • Meet and exceed individual activity metrics for & Customer targets as set by the Bank • Effectively execute the Banks sales strategy in respect of Product generate new business • Participates in cross selling bank products. • Maintain detailed tracking of pipeline and progress updates • Adhere to Supervision requirements set out by Line Manager for all financial products
Receiving Clerk R15 000 Per Month Benefits: Pension, Parking Job Details ● Receive ● Dispatch ● Control inspections on all manufactured products. Candidate Requirements ● Martric ● Must be able to read technical drawings experience ● Computer Literate The post Receiving Clerk appeared first on freerecruit.co.za .
employ a Recon Clerk to join their team.
Requirements:
REQUIREMENTS
client in the FMCG sector seeks a solid Accounts Clerk with strong Excel skills. Diploma or Certificate Accounts related role doing: Creditors Recons Banking Petty Cash Payments and general financial duties
Currently Looking for Banking Sales Consultants for the below areas: Johannesburg South, East Rand and revenue and collections targets as defined by the bank • Meet and exceed individual activity metrics for & Customer targets as set by the Bank • Effectively execute the Banks sales strategy in respect of Product generate new business • Participates in cross selling bank products. • Maintain detailed tracking of pipeline and progress updates • Adhere to Supervision requirements set out by Line Manager for all financial products
well established company is looking for a SAIPA clerk to complete their articles Assisting with financial
years' experience in the position of a creditors clerk. Solid understanding of account payables. Must have integrity, honesty and be able to work overtime when required.
within the IT sector based in Kempton Park requires a Finance Clerk for a Debtors, Credit Control and Cashbook payment cycles. Reconcile accounts as and when required. Liaise with customers on queries they may have not invoiced until payments are reflecting in the bank accounts Cashbook Duties: Responsible for maintaining finance team of deposits that are reflecting in the bank Adhoc Duties: Assist the team in ensuring the smooth