deviations, or non-conformities.
Plant/Site
nce of successfully managing and negotiating contracts
throughout Plant/Site Liaise with Clients Liaise with Contracts Manager daily on updates of the Project/s and
throughout Plant/Site Liaise with Clients Liaise with Contracts Manager daily on updates of the Project/s and
processing payments, and maintaining records of financial transactions in a timely and accurate manner. Accurately enter transaction details into the financial system. Issue receipts, refunds, credits, or change and documentation. Assist in the preparation of financial statements and reports. Maintain a clean and organized in using point-of-sale (POS) systems and other financial software. High level of integrity and attention