throughout the facility.
Capture invoices on JDE and reconcile to the matched report Consolidate necessary payment documents Prepare via Standard Bank Business Online Prepare ad hoc COD payments Prepare and reconcile CFC bank recons to the the bank statement Prepare monthly import payment schedule and capture import journals Capture all payments required Clear old items on the unmatched GRN report Assist supervisors/managers with ad hoc duties Prepare Prepare and file documents for archiving Assist with financial year end tasks Liaise with auditors during
Capture invoices on JDE and reconcile to the matched report Consolidate necessary payment documents Prepare via Standard Bank Business Online Prepare ad hoc COD payments Prepare and reconcile CFC bank recons to the the bank statement Prepare monthly import payment schedule and capture import journals Capture all payments required Clear old items on the unmatched GRN report Assist supervisors/managers with ad hoc duties Prepare Prepare and file documents for archiving Assist with financial year end tasks Liaise with auditors during
requirements and industry standards. Document and report non-conformities, deviations, and quality issues system in accordance with industry standards and regulatory requirements (e.g., ISO/TS 16949, 9001 & personnel and production operators. Documentation and Reporting: Maintain accurate records of quality inspections results, and non-conformities. Generate quality reports and metrics to track performance, trends, and areas standards (e.g., ISO/TS 16949, 9001 & 14001), and regulatory requirements applicable to automotive manufacturing
agents
General filing of finance documents and records. Assist in capturing cashbook and reallocation journals month-end. Scan financial documentation as needed. Assist the Cashbook Controller and Finance Managers as the safe and maintain the deposit slips book for banked items. Matric / Grade 12 and bookkeeping qualification
General filing of finance documents and records. Assist in capturing cashbook and reallocation journals month-end. Scan financial documentation as needed. Assist the Cashbook Controller and Finance Managers as the safe and maintain the deposit slips book for banked items. Matric / Grade 12 and bookkeeping qualification
Facilitate rotation of stock on a regular, FIFO basis Report low stock levels, out-of-stock items, damaged stock stock and expired stock to management Assist with counting of stock files and general stocktaking Adhere visible at all times, with correct labels and pricing Report all price discrepancies to management Keep abreast stock in the storeroom as well as on the shop floor Assist with loading and off-loading of stock Ensure items without barcodes are clearly marked Assist with back shopping Assist in training of new staff Provide friendly
Stock reporting
Basic Function:
Assist Project Engineer in the delivery of new projects from project