a suitably qualified and experience Financial Controller – FTC (6 months) to join our dynamic company Faxes/Tele & Cellphone / Photocopying) Disbursement Control Completing Port Disbursement Accounts Check Pd's external audit requirements Other functions Asset Control Control of storage and destruction of documents Maintaining Maintaining prudent accounting controls over the branch income and expenditure Strict adherence to the internal customer relationships Uses IT for controlling and improving work results Commitment to complying
Supply & Logistics Controller to join their team on contract. You will be responsible for supporting product Supply & Logistics Controller to join their team on contract. You will be responsible for supporting product
Supply & Logistics Controller to join their team on contract. You will be responsible for supporting product Supply & Logistics Controller to join their team on contract. You will be responsible for supporting product
flexibility between office and remote work. RESPONSIBILITIES: End user support triage and escalation. System requests (e.g. over the shoulder support, FAQs) ARMS request processing (e.g. User onboarding) System performance incidents) Usability checks (e.g. system responsiveness) Create problem records (e.g. for repeat incidents) invoke workflows) Software license compliance Sox control (Remedy user attestation reports) Incident comms
and tests, observing material handling, change control (RFI), ensuring safe HSE practices, and verifying and approved inspection and test plans (Quality Control Plan's). o Plan and attend meetings onsite and specified in agreed inspection and test plans (Quality Control Plan's). o Verify the completeness and accuracy if delays of works and its accurate causes for control purposes. o Check and prepare site reports (daily monthly as required). o Implement client's quality control procedures and monitoring that the contraction
documents for the branch Ensure that internal control measures are maintained through regular reconciliations supplier listing reconciles to the accounts payable control account Investigating and reconciling of any rejected advices Reconciling customer age listing to customer control account Ensuring accurate processing of cashbooks cash and issuing of monies for cash payments Responsible for all reconciliations of balance sheet accounts allocations into expense accounts Reconciliation of control accounts Liaise with auditors to ensure accurate
accurate manner. Responsibilities: Your main task will include ensuring portion control. • Ensure minimum minimum waste with portion control and correct packaging. • Accurately cutting, trimming, debone and grinding
accurate manner. Responsibilities: Your main task will include ensuring portion control. • Ensure minimum minimum waste with portion control and correct packaging. • Accurately cutting, trimming, debone and grinding
remain the responsibility of the trainee. Scope All functions, duties, and responsibilities of the Trainee SHERQ MANAGEMENT (1SO9001, 1SO14001, FSO 45001 • Responsible for adhering to the requirements of the abovementioned confirmed, especially in the area of documentation control. • Ensures conformance with all standards for Safety defective or damaged parts and assess cost and responsibility. Requirements: • BSc / BEng degree in Mechanical Electrical Engineering Should you not receive a response within 10 working days, please consider your application
Auxiliary transformers Emergency diesel generator and control, batteries and chargers, uninterruptible power power supplies (UPS), protection, power and control cabling Routing and racking Lighting and small power installations