Recruitment / Staffing Reporting to 3x Site Supervisors General The successful individual must - be able
manufacturing? We're looking for a skilled Factory Supervisor (Welding Foreman) to join our thriving company innovation, and sustainability. As the Factory Supervisor (Welding Foreman) , you will play a pivotal role
Recruitment / Staffing Reporting to 3x Site Supervisors General The successful individual must - be able
allocations on the shared bank accounts and Insurer bank accounts Manage Ops bank account reconciliations Pastel Manage all unallocated transactions on all bank accounts Manage disputed items process (including distribute bank account confirmation letters Regularly and consistent follow-up with the Bank and Insurers reporting Shadowing the Operational Accounts Supervisor duties as and when required Matric Relevant diploma
allocations on the shared bank accounts and Insurer bank accounts Manage Ops bank account reconciliations Pastel Manage all unallocated transactions on all bank accounts Manage disputed items process (including distribute bank account confirmation letters Regularly and consistent follow-up with the Bank and Insurers reporting Shadowing the Operational Accounts Supervisor duties as and when required Matric Relevant diploma
function
returns. Bank & Cash: •Processing of Cash book postings – receipts, payments from bank statements on Pastel. •Reconciliation of Bank statements / Cash book. •Petty cash reconciliation and reporting on basis. •Identifying ad-hoc opportunities to maximize cash flow. Reporting: •Maintain Income Statement, Balance
and returns. Bank & Cash: Processing of Cash book postings – receipts, payments from bank statements statements on Pastel. Reconciliation of Bank statements / Cash book. Petty cash reconciliation and reporting on basis. Identifying ad-hoc opportunities to maximize cash flow. Reporting: Maintain Income Statement, Balance
and returns Bank & Cash: Processing of Cash book postings receipts, payments from bank statements statements on Pastel Reconciliation of Bank statements / Cash book Petty cash reconciliation and reporting on a basis Identifying ad-hoc opportunities to maximize cash flow Reporting: Maintain Income Statement, Balance
reconciliation of Electronic Remittance Advice (ERA) and bank statements Obtain and input manual Remittance Advices Perform any additional duties as requested by supervisors and management R 18 000 - R 22 000