Daily reconciliation of cashbook Management of staff General Administration Daily Checking of Cash-Ups for all Cashiers – WC Region & checking of drop deposits against bank statement Verification of customer refund payments VIP & PCC Account Annual Rebate Schedule Verification of bank acco
Developing an integrated and targeted communications strategy for CRM, to grow South Africa's loyalty base, drive sales through tactical CRM initiatives and enhance the customer life-cycle. Provide communications support across various internal departments, be responsible for corporate communication
design company, with our Head office based in Woodmead Johannesburg. What do we want? We want someone
at Nashua (Pty) Ltd for an IR Manager, based in Woodmead, reporting to the Chief Human Resource Officer
3 Years in a reaction environment Must Reside WOODMEAD No Criminal Record or pending cases Strong ability
The Mine Health and Safety Council is a national public entity established in terms of the Mine Health and Safety Act, No 29 of 1996. To advise the Minister of Mineral Resources on occupational health and safety legislation and research outcomes focused on improving and promoting Occupational Health
Front End Developer – Woodmead Salary: Negotiable based on experience Work setup: Hybrid Are you a passionate
Ensure goods received note is matched to the delivery note and invoice. Capturing supplier invoices and credits notes Capturing/Processing direct delivery invoices from supplier to customer. Monthly account reconciliations Processing Goods returne notes to supplier and follow up with the supplier fo
Provide input into the due diligence process by gathering and analysing financial data, identifying risks, and providing insights into potential synergies. Collaborate with cross-functional teams to gather necessary data and assumptions for model inputs. Conduct business valuations and financial ana
Responsible for South African Treasury activities including daily receipting, transfers between bookings, allocations and assist with customer receipting queries, cash collection procedures and managing bookings in terms of standard terms and conditions. Performing reconciliations of suspense accoun