a leading fruit processor in South Africa, its Head Office situated in Polokwane (Limpopo), seeks to Maintenance Manager at our Letsitele factory to monitor, control and direct the activities of the maintenance team contractors to ensure the smooth and efficient daily operation of all machinery and services for production. Occupational Health & Safety, Food Safety and Quality programs, co-ordinate activities of subordinates internationally accepted environmental, health, safety and quality standards. Grade 12 with Maths and Science N6 National
Accountant, based in Tzaneen. Reporting to the Head of Business Partnering Commercial. Duties and Responsibilities: Communication with Growers, Customers, Credit Control Team, Procure to Pay Team and Commercial Team on receipt of customer advances by liaising with Credit Control Team Preparing timeous and accurate grower advance sent to Procure to Pay Team Liaising with Credit Control Team to ensure timeous processing and sending of export pools Assist with improving processes and controls Bank and Cash: Timeous release of incoming funds
procedures are in place to provide strong internal controls ensuring good governance in the payroll. Manage implement changes and/or quality control measures leading to best practice operations. Process correct garnishee the master payroll schedule and assist with Bank Control Account reconciliations Monitoring and reconciliation
procedures are in place to provide strong internal controls ensuring good governance in the payroll. Manage implement changes and/or quality control measures leading to best practice operations. Process correct garnishee the master payroll schedule and assist with Bank Control Account reconciliations Monitoring and reconciliation
and train sales staff, Reporting and liaising with head office on monthly sales; Advertising; Evaluations
2. Preparation of Operational Reports: Preparation of monthly group operational reports and analytical unit, divisional, departmental and regional operational reports. 3. Consolidation of Annual Budget & Cash flow: Maintain the daily cash planning and control process in terms of receipts, loading and releasing
2. Preparation of Operational Reports: Preparation of monthly group operational reports and analytical unit, divisional, departmental and regional operational reports. 3. Consolidation of Annual Budget & Cash flow: Maintain the daily cash planning and control process in terms of receipts, loading and releasing
Preparation of Operational Reports:
calculations and prepare detailed reports.
accounts