submit monthly reconciliations. Petty Cash Handling: Process Petty Cash pay-outs, update reconciliation sheets sheets, and balance Petty Cash weekly and monthly for submission to the Finance Department. Trust Account Finance Department, including reconciliation of daily cash, eft, and Nedlink payments. Raise credit notes on
reconciliations.
submit monthly reconciliations. Petty Cash Handling: Process Petty Cash pay-outs, update reconciliation sheets sheets, and balance Petty Cash weekly and monthly for submission to the Finance Department. Trust Account Finance Department, including reconciliation of daily cash, eft, and Nedlink payments. Raise credit notes on
conveyor lines
Sharpening and maintaining machine tools
PLC Fault-finding
Wiring of panels
inventory levels. Handle daily cash management, including reconciling cash drawers and bank deposits. Prepare
inventory levels. Handle daily cash management, including reconciling cash drawers and bank deposits. Prepare
orders – Document scanning – Switchboard function – Cash monitoring – All admin relieve duties including
required. Adherence to the scheduled servicing of machines compressors, piston compressors and pressure transmitters
Work on conveyor lines Sharpening and maintaining machine tools PLC Fault-finding Wiring of panels Aligning