throughout the facility.
General filing of finance documents and records. Assist in capturing cashbook and reallocation journals month-end. Scan financial documentation as needed. Assist the Cashbook Controller and Finance Managers as cash items. Capture Petty Cash journals for all sites into E1 and prepare monthly Reconciliations. Secure
General filing of finance documents and records. Assist in capturing cashbook and reallocation journals month-end. Scan financial documentation as needed. Assist the Cashbook Controller and Finance Managers as cash items. Capture Petty Cash journals for all sites into E1 and prepare monthly Reconciliations. Secure
People development
of Labour stacking exemptions complied with
Site housekeeping standards maintained and adhered to
site safety standards
Effective stock quality management
Responsibilities:
Elimination of waste
autonomous maintenance, performs problem solving, assists the engineering technician/s during breakdown and Controller.
People development
Responsible for certain forms of calibration at sites