Join our dynamic Telecoms team in Roodepoort as a Lead Warming Team Leader, where you will play a pivotal role in managing and optimizing our lead warming operations. As the Lead Warming (Generation) Team Leader Leader, you will oversee a team of Lead Warming Consultants to ensure exceptional performance and service judgement, patience, and a steady demeanour. Manage and lead the team to achieve KPIs and deliverables: o Monitor: percentage – Cold leads to warmed leads. o Tracking, monitoring and progress updates on warmed leads to sales
looking to hire a Project Manager / Practice Lead, the Functional Consultant will be responsible applications according to client requirements.
allocations on the shared bank accounts and Insurer bank accounts Manage Ops bank account reconciliations Pastel Manage all unallocated transactions on all bank accounts Manage disputed items process (including distribute bank account confirmation letters Regularly and consistent follow-up with the Bank and Insurers
allocations on the shared bank accounts and Insurer bank accounts Manage Ops bank account reconciliations Pastel Manage all unallocated transactions on all bank accounts Manage disputed items process (including distribute bank account confirmation letters Regularly and consistent follow-up with the Bank and Insurers
leaders. Duties & Responsibilities: Design and deploy talent management strategies, policies, practices procedures in line with business priorities and growth Lead strategically on the full employee lifecycle, from
leaders. Duties & Responsibilities: Design and deploy talent management strategies, policies, practices procedures in line with business priorities and growth Lead strategically on the full employee lifecycle, from
Creditors Reconciliations Good understanding of the banking environment 3 years experience Experience in the
limited to:
Reconciling the companys bank statements and bookkeeping ledgers
Reconciliation
looking for an experienced Accountant to join a leading construction and manufacturing company based in and returns. Bank & Cash: Processing of Cash book postings – receipts, payments from bank statements statements on Pastel. Reconciliation of Bank statements / Cash book. Petty cash reconciliation and reporting on
function