The Regional SHEQ Manager (Inland Region) is responsible to provide day to day HSE support to sites and operating teams within the designated region. Support includes coaching, teaching and training field personnel on safe operating behaviours. Introduction of SAMTRAC SAMTRAC Hazard Identification a
Currently Looking for Banking Sales Consultants for the below areas: Johannesburg South, East Rand and revenue and collections targets as defined by the bank • Meet and exceed individual activity metrics for & Customer targets as set by the Bank • Effectively execute the Banks sales strategy in respect of Product generate new business • Participates in cross selling bank products. • Maintain detailed tracking of pipeline
Currently Looking for Banking Sales Consultants for the below areas: Johannesburg South, East Rand and revenue and collections targets as defined by the bank • Meet and exceed individual activity metrics for & Customer targets as set by the Bank • Effectively execute the Banks sales strategy in respect of Product generate new business • Participates in cross selling bank products. • Maintain detailed tracking of pipeline
management plan development. Experience negotiating land and freshwater contractual agreements and preparing
management plan development. Experience negotiating land and freshwater contractual agreements and preparing
and reconciliations for the Debtors and Creditors bank account; Handling the ordering, receiving, issuing ledger and claiming the appropriate vat; Loading the Landed Cost Tracking and local GRN processing New customer
processing finance applications Sharing these for bank approval Structuring finance packages to best suit negotiations with banks Contract drawing with financial instuitions Signing up bank contracts Getting Getting deals paid out by the banks Selling of VAPS to increase revenue on the finance deals Fais compliancy
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Accountabilities / Key Performance Areas - Fixed deposits - Bank statements - VAT - Fixed assets (additions, disposals Record all bank statements in Baan daily (Cashbook) Daily Reconciliation of Standard Bank Statements payments (local and foreign) on banking system Daily uploads of Bank Statements to Coupa (previous Bellin) the various bank General Ledger accounts. Revaluation of Foreign Loan accounts & Bank accounts Management
are allocated; balance daily with the bank and liaise with Bank Recon Administrator; follow up on unknown