Sales Coordinator to join their growing team. Core function: Complete and control all aspects of internal backup for export sales, ancillary duties - to assist in reception Summary deliverables: Prompt professional
Accurately reporting on ETAs on all orders. Co-ordinate with suppliers and project managers to ensure to Management Assist with inventory control Assisting with Supplier Evaluations Assist with project budget
Accurately reporting on ETAs on all orders. Co-ordinate with suppliers and project managers to ensure to Management Assist with inventory control Assisting with Supplier Evaluations Assist with project budget
Supervisor and assist in preparing training material, co-ordinate and facilitate training. Assist in the billing
multiple companies within the group as well as assisting with admin requests in the interest of the organisation organisation. FINANCIAL Full bookkeeping function. Apply proper and accurate accounting records in multiple requested by the finance team on a regular basis. Assisting with financial reporting to managers and senior
multiple companies within the group as well as assisting with admin requests in the interest of the organisation organisation. FINANCIAL Full bookkeeping function. Apply proper and accurate accounting records in multiple spreadsheets as requested by the finance team regularly. Assisting with financial reporting to managers and senior
multiple companies within the group as well as assisting with admin requests in the interest of the organisation
FINANCIAL
Sales Coordinator to join their growing team. Core function: Complete and control all aspects of internal backup for export sales, ancillary duties - to assist in reception Summary deliverables: Prompt professional
client and a member of the designated team. Other functions will include fielding basic questions and concerns literate, in particular Word, Excel and database functionality
Verify customer payments. Assist with liaising with banks for queries. Assist in budget preparation. Prepare audit files, compile and review reconciliations. Assist auditors with queries. Arrange foreign exchange travel purposes. Compare charges between banks. Assist with tenant queries. Handle cash to master transactions