currently looking to employ a Level-1 IT Field Service Technician based in George (Western Cape). A wonderful
General Manager required for client in the food service hospitality sector. Business unit management and aging control and regular stock takes Sales and service levels strategy implementation Complaint handling
Requirements:
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 Assist with necessary documentation for daily payment runs and correspondence to producers. Handle daily including reconciliation of daily cash, eft, and Nedlink payments. Raise credit notes on Freshmark ReFresh ReFresh System for buyer payments and maintain buyer information. Administrative Support: Assist Trader/s
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 Assist with necessary documentation for daily payment runs and correspondence to producers. Handle daily including reconciliation of daily cash, eft, and Nedlink payments. Raise credit notes on Freshmark ReFresh ReFresh System for buyer payments and maintain buyer information. Administrative Support: Assist Trader/s
functions, managing staff, ensuring excellent customer service, and supporting the overall operation of the company inventory levels. Handle daily cash management, including reconciling cash drawers and bank deposits. Prepare
functions, managing staff, ensuring excellent customer service, and supporting the overall operation of the company inventory levels. Handle daily cash management, including reconciling cash drawers and bank deposits. Prepare
incoming bills, load payments, ensure timeous rental payments, release payments and income, keep track
and/or prepare construction programs Prepare project cash flow forecasts Liaise with and maintain good relations Prepare subcontractor payment advice and reconciliations for interim payments Prepare subcontractor final