includes full reception duties together with front desk tasks, direct counter sales and email orders, plus stationery and ad-hoc duties linked to the front desk. Prompt professional client interactions are required Word, Outlook) Prior knowledge of internal sales desk and Reception requirements Reasons for inherent working in both Reception and an internal sales desk is necessary, as the role involves frequent interaction
includes full reception duties together with front desk tasks, direct counter sales and email orders, plus stationery and ad-hoc duties linked to the front desk. Prompt professional client interactions are required Word, Outlook) Prior knowledge of internal sales desk and Reception requirements Reasons for inherent working in both Reception and an internal sales desk is necessary, as the role involves frequent interaction
(Excel, Word, Outlook) Prior knowledge of sales desk requirements Three years work experience in similar invoicing Previous experience working at a sales desk is necessary, as the role involves frequent interaction
(Excel, Word, Outlook) Prior knowledge of sales desk requirements Three years work experience in similar invoicing Previous experience working at a sales desk is necessary, as the role involves frequent interaction
reconciliations. Review overhead expenses. Compile cash flow forecasts. Prepare finance reports. Maintain between banks. Assist with tenant queries. Handle cash to master transactions. Matric. Tertiary qualification
and laymen terms) Experience working on support desk call logging systems, Excellent time management
responsible for the complete Management of the departments Minimum of 5 years' experience as Dealership manage total financial and budgeting aspect of the department. Fluent in both Afrikaans and English. PLEASE performance indicators (KPIs) related to service department efficiency, customer satisfaction and profitability
and procedures. Protection of all assets (stock, cash, physical assets, staff, and customers) through
and procedures. Protection of all assets (stock, cash, physical assets, staff, and customers) through
management packs. Review and reconciliation of Petty Cash and Credit Cards. Monthly reconciliations of the