Preparing and managing procedures, tests and administered medication under the supervision of the Registered Nurse. Assessed and compiled individual nursing care plans and action plans by patient's needs, discussed the care and suggestions with other team members. Frail Care experience Registered wi
Our client is looking to employ retail staff for their stores. Duties include, but not limited to: Generates kept under control. Leadership roles: Ensures that staff KPIs are monitored and the necessary corrective that results in staff retention. Ensures that all staff adhere to compliance requirements in all areas of
Our client is looking to employ retail staff for their stores. Duties include, but not limited to: Generates kept under control. Leadership roles: Ensures that staff KPIs are monitored and the necessary corrective that results in staff retention. Ensures that all staff adhere to compliance requirements in all areas of
seeking a Bank Recons Clerk on a contract basis. You will be responsible for reconciling bank accounts resolving queries and communicating with stores and the bank. Matric plus solid work experience. Post matric including, inter alia, bank reconciliations, foreign currency translation and conversion, bank card queries, resolving resolving bank discrepancies etc. Experience within a team dynamic would be advantageous Compute literate Available immediately Interested and meet the above requirements then email your CV to recruitmentcorporateplacements
communication.
Specific Requirements:
Needs to understand Commercial Lines product requirements. Various Insurers – Commercial products Needs translate product requirements into system functionality – Eg. What information is required to be captured
loading new staff and removal of staff resignations). Managing of leave records of all staff and Contractors Contractors. Loading of monthly salary payments on the Banking Platform, after necessary approvals of FM and CEO distribution of monthly payslips and IRP 5s by staff. Full accounting function up to and including trial Cash book entries after review of bank reconciliation done by staff. Debtors, Creditors, and General Ledger Redemption Reports and Loading of payments on the Banking Platform after approval by FM. Checking of Reseller
National Sales Fulfilment Manager Daily oversight of staff productivity Act as conduit between Sales/ Sales system) Knowledge of bank product to assist training facilitator & staff Bank engagements/building engagements/building rapport with bank liaison across banks Identify training needs within team and sales Matric (NQF 4) 4) 5 years' minimum experience in a Bank environment dealing with mortgages or Mortgage Origination 2
National Sales Fulfilment Manager Daily oversight of staff productivity Act as conduit between Sales/ Sales system) Knowledge of bank product to assist training facilitator & staff Bank engagements/building engagements/building rapport with bank liaison across banks Identify training needs within team and sales Matric (NQF 4) 4) 5 years' minimum experience in a Bank environment dealing with mortgages or Mortgage Origination 2
be filled with a suitable candidate Processing staff claims and payments Processing accounting entries Cashbook duties which include the daily import of banking transactions and the management of the automatic allocation system including allocations or checks required from accounts receivable and payable functions receipts. Manual capture of non-trade bank accounts. Dealing with the bank on all administrative needs (Credit request/cancellation, forex banking issues, password issues, FICA requirements, bank confirmation certificates