GENERAL DESCRIPTION:
This is a temepory position. URGENT. To start now and ends 31-11-21
Responsible for the performance of general administrative function for the Operations Support.
Main Functions:
1. Mobile Phone Account Management (MTC & Vodacom)
- Monthly ac
and billed.
4. General
- Weekly reconciliation of subcontractor refueling versus income earned
information for BEE Verification.
- Monthly reconciliation of subcontractor loan accounts in the General
writing. Ensure that the relevant Subcontractor Clerk is aware of such communication.
Send and receive
by means of a table of contents - take to Postal Clerk.
Report deviations as well as movement of mail
CPT000001-DvdM-1 Our client in Wellington is looking for a POD Clerk to collect and review POD's to expedite freight writing. Ensure that the relevant Subcontractor Clerk is aware of such communication. Send and receive by means of a table of contents - take to Postal Clerk. Report deviations as well as movement of mail.
CPT000001-DvdM-1 Our client in Wellington is looking for a POD Clerk to collect and review POD's to expedite freight writing. Ensure that the relevant Subcontractor Clerk is aware of such communication. Send and receive by means of a table of contents - take to Postal Clerk. Report deviations as well as movement of mail.
duties: recording transactions, debtors, creditors, bank transactions
Assist with weekly and monthly reporting and reconciliation Assist with stock takes and internal and external imports Job closures Supplier onboarding Kiosk reconciliation Ad hoc finance reporting and requests Petty
Assist with weekly and monthly reporting and reconciliation Assist with stock takes and internal and external imports Job closures Supplier onboarding Kiosk reconciliation Ad hoc finance reporting and requests Petty
s - invoice received
GENERAL Weekly reconciliation of subcontractors who refuel on account versus information as needed for BEE Verification. Monthly reconciliation of subcontractor loan accounts in the General
includes conducting financial audits, reconciling bank statements, and ensuring accurate financial records