Job Region: Gauteng

  • EAMEI Treasury Manager Quality and Regulatory Intern

    The mission of the Treasury COE Team members is to manage bank relationships and group compliance with the support of local CFO / teams and ensure all affiliates have enough funds to run their operations. He/she will be the direct point of contact with  local CFOs, GBSand clusters for treasury matters. 
    He/she provides support to Corporate Finance for the ST/LT funding of the entities.

    At the EAMEI / HHC GBU level, his/her role involves

    Financial Risk management responsibility for all entities in EAMEI / HHC GBU
    Funding and Financial Investment Management and Reporting
    Leading Treasury Projects for EAMEI / HHC GBU
    Leading other treasury functions at EAMEI / HHC GBU as may be assigned
    Act as a back-up for other EAMEI / HHC CoE Treasury team members for their geographical scope

    For the South African Region he/she will be leading treasury matters, in line with the main contributions highlighted below, and manage bank relationships and group compliance with the support of local CFO / teams and ensure all affiliates have enough funds to run their operations. He/she provides support to Corporate Finance for the ST/LT funding of the entities.
    Financial Risk management & Insurance Management

    Executes hedges within financial policy principles in line with group policy
    Manage foreign exchange coverage, validate hedging strategy both FX and interest rate.
    Manage  FX exposure across the scope.
    Ensure the implementation of the KTP Web tool and FX deals reporting when local hedging is performed due to local constraints  (Aim, benefits, etc).
    Define BCP with support of the entity and ALEBS to ensure the continuity of treasury activity

    Cash and Liquidity Management

    Own the full process of Cash and Liquidity management with the entities and ALEBS team.
    Maintain local cash pooling structure within the r entities.
    Supervise and contribute to treasury  processes: weekly cash flow forecast, monthly operational actual cash flow
    Ensure all reports related to Treasury and cash projection management are done on time
    Monitor working capital and assist affiliates in improving their DSO, DIO and DPO.

    Funding and Financial Investment Management and Reporting

    Support short term, long term funding and customer financing projects. 
    Ensure proper control at entity levels of bank covenants, bank loan maturing and guarantees
    Drive implementation of factoring and supply chain financing solutions when applicable
    Support and ensure the deployment of any treasury project initiated by the CoE Treasury (encrypted payments, TMS, etc).

    Performance, Quality & Conformity Management

    Ensure deliverables quality
    Ensure Service Level Agreement Compliance and report any dysfunction
    Ensure to implement the process improvements
    Manage and update Treasury procedures if needed.
    Manage Treasury Internal Control Reviews across EAMEI in coordination with Group Treasury and Head of COE
    Manage financial fraud and dispute cases

    Bank Relationship Management and Treasury Administration

    Manage Bank relationships  with the support of Local CFOs and Head of COE.
    Manage Defined KPIs, Ensure SLA compliance and reporting to the group, clusters and local countries
    Bank Portals Administration (updating authorized signatories, banking access rights…etc.)
    Drive the reduction of the number of bank accounts across the entities, review the bank fees and decide on an action plan to reduce transaction costs.
    Schedule regular meetings with core and local banks if any to review their performance and if needed take action to improve the level of the service
    Provide information to answer queries from management & external parties jointly with Local and BSC teams
    Provide treasury information/documentations as required by banks/financial institutions

    Are you a MATCH?

    Bachelor degree in Finance, Mgmt, etc. Formal qualification in treasury (or master) 
    7+ years experience in  Treasury  activities including Africa and /Or MEI specificity
    Understanding of financial markets, financial instruments and debt instruments / Ability to work autonomously and be part of the broader team / Appropriate handling of sensitive information

    Work experience

    Treasury and cash management
    Experience in shared service center
    Experience in a multinational company desirable  
    Functional Skills
    Strong knowledge of Treasury activities
    Strong Knowledge of ERP (Navision, SAP, Oracle, Gideon…) and Power BI (reporting tool)
    Google Suite and TAIG
    Foreign language
    English Mandatory, French is an asset

    Core Competencies & Knowledge 

    Finance Expertise
    Business Acumen
    Digital/Financial/ Commercial Savvy

    Complementary Capabilities

    Thinking & Partnering strategically
    Influencing for Change
    Managing conflict
    Analyzing and solving problems
    Professional manner and highly organized
    Proactive & adaptable
    Proven ability to meet deadlines
    Results oriented
    Good written and verbal communication, coaching skills
    Ability to be patient and methodical when resolving problems

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    Apply via company website ( N / A ) or

     

  • Corporate Banking Administrator (Treasury/Credit) (JHB) Senior Accounts Administrator (AR/AP/Cashbook/Intercompany) – JHB Inland Sales Manager (Prepaid Mobile) (JHB) Senior Backend Developer (.NET, C#) (Hybrid – JHB) Business Development Consultant (Skills Training) (JHB – Onsite) Sales Administrator (Hybrid – Cape Town) Junior IT Technician (East London Onsite) Business Development Manager (Engineer with Commercial Acumen) (JHB Onsite) Senior Systems Engineer (Remote) Branch Manager – Retail (Nelspruit) AWS DevSecOps Engineer (Stellenbosch Hybrid, UK Work Hours) Technical Test Engineer (Manual) (Stellenbosch Hybrid, UK Work Hours) Senior QA Engineer – CPT Category Specialist – Inland Region (Germiston) District Branch Manager (DBN)

    ENVIRONMENT:

    ACHIEVE the banks targets and budgets by complying with policies and procedures and ensuring that all Credit, Administration, Compliance and Risk matters are completed as the next Corporate Banking Administrator sought by a leading global full-service Commercial bank.
    You will ensure all administration, tasks, special projects, reports, must to do list for department, for the Branch, for other departments and/or for Head Office and other external parties are completed efficiently, and on time.
    The successful incumbent must have a 3-year Business-related Degree/Diploma Business-related with 3-5 years’ experience in Corporate Banking/Financial Services.

    DUTIES:

    Transactional Procedures –

    Manage and check Loan Bookings, Rollovers, Payments (including Interest Payments), Fx Instructions, trade finance and any other transactional/customers activity are completed timeously.
    Diarise future rollovers, repayments, maturities and keep records and a database with each customer’s rollover history, payments, interest income, Fx, etc.
    Complete administrative work to ensure the customer’s product, payment and service requirements are handled in a professional manner.
    Confirm rates of loans and periods of the drawdown and roll-over with customers in a timely manner, to avoid risk of loss or incorrect booking on NGS.
    Attach supporting documents including Covenants Certificates, etc., to the booking forms.
    Manage CP process for drawdowns.
    Embrace and comply with drawdown centre requirements.
    Make sure that any administrative work required to ensure the customer’s product, payment and service requirements are handled in a speedy and professional manner.
    Collect all transaction documents for loans and other facilities to ensure that transactions and loans are implemented and executed seamlessly.
    Support the teams with customer and portfolio administrative matters.

    Customer Queries –

    Resolve all customer queries and challenges generated either internally or externally, professionally, accurately and speedily.
    Take responsibility and accountability to ensure all matters relating to the customer are resolved, followed up on and are aware of the status of the matter.
    Ensure all customer documentation is obtained for regulatory, compliance, policy, procedure, legal or other requirements and they are stored correctly for respective customers.

    NGS –

    Capture all relevant customer Information on NGS following the request from Compliance Department, Risk Management Department, Relationship Managers, Accounting, Operations etc. with the necessary approval by Compliance Department.
    Prepare and update an NGS guideline for performing the NGS functions relating to the department.

    Operational Procedures –

    Implement and check that processes are comprehensive to ensure accuracy and consistency of information.
    Notify customers of incoming funds within the working day when the back-office sends out a notification.
    Ensure that all drawdowns are communicated internally to relevant departments in advance.
    Send statements daily to Credit Department for overnight and short-term loan customers.

    Planning and Filing –

    Keep Department Calendar updated regularly with at least four weeks in advance updates with all items including rollovers, staff leave, local annual credit reviews, monthly post lending reporting due dates, maturities, Head Office review dates, credit rating expiry date, KYC RE-ID dates and any other due dates.
    Create and compile checklists for account opening processes, closing process, new drawdown, early repayment, maturities, refinancing, etc., to ensure all process tasks are carried out and that the checklists, filing is done and NGS is updated regularly.
    During the year keep regularly updated lists of:
    Customers and contact details;
    Local Credit Application review dates;
    List of loans;
    Loan customers contact details/agent contact details for rollovers/booking;
    Maturing loans;
    KYC active (including RE-ID dates), closed, dormant and suspended customers;
    Any other list that may be required to be maintained for record and other regulatory or audit purposes;
    To file regularly during the year, and as and when latest information is available and or updated; Call reports, Credit mandates, Pricing models, Credit ratings, Credit memo’s, Risk Classification, Agreements and Facility letters, Head Office and IBD applications and approvals, Head Office Policies, department meeting minutes, etc.
    Ensure that products, processes and efficiencies are carried out and implemented.

    Task Management and Research –

    Complete ad hoc, assigned tasks and special projects with a sense of urgency within the timelines and ensure correctness and accuracy of information contained therein.
    When tasks and responsibilities are assigned, they need to be completed within deadline, and any delays needs to be communicated well in advance of deadlines with good reasons.
    Conduct research and source documentation or data as and when requested and within in timelines.
    Ensure correctness and accuracy of information contained in research and other reports.

    Reporting and Feedback –

    Diarise and prepare allocated reports accurately and within deadlines set by end users or as specified by the Team Head and Department Head, other departments and executives.
    Prepare weekly and ad hoc reports.
    Prepare and review weekly/monthly team reports, concentration reports, Exco reports, Management Operation Forum reports, ALCO reports, Risk reports and ad hoc reports within timelines.
    Complete all standard and special reports for Risk Management Department (Comprehensive Risk Management report, Key Risk Indicators and Key Internal Controls), Compliance Department, Head Office, Executive and other departments accurately within the deadlines.
    Keep a list and update EVA and ROE on each loan according to the pricing model.
    Make sure that all reports and information requested are completed in a timely and professional manner and ensure correctness and accuracy of information contained therein.
    Coordinate information collection within the department where appropriate and negotiate with HO or other departments relating to preparation of information where appropriate.
    Provide accurate, up to date and reasonable information on deal pipelines, declined deals, maturing deals, drawdown dates, credit review dates, credit rating review dates, Head office review dates, maturing deals, credit, compliance, risk matters, etc.

    Processes –

    Ensure that processes and business efficiencies are carried out and implemented.

    Filing and Information Management –

    To file and maintain a complete, up-to-date and accurate register (physical and electronic) of loans, collateral, guarantee documentation, credit applications, credit ratings, monthly post lending report, call reports, post loan management documents, CP’s, site visit, watch list reports, loan agreements, facility letters, local mandate, Head Office approvals, IBD Approvals, credit meeting minutes, credit memo’s, deal forum applications, financial statements, all document that relates to the customer facilities or loans in a file for each customer, and all supporting documentation in accordance with applicable policies and procedures and in conjunction with team requirements.
    Ensure all filing complies with records management policy and other related policies in terms of retention and destruction of documentation.
    Maintain all information and records that are filed electronically and physically and manage the information in line with the POPIA requirements.
    Prepare Audit Confirmation for customers.

    Credit Management –

    Liaise with Attorneys regarding matters relating to credit and collateral documentation, and legal fees. Keep records, in a physical file of all Head Office policies.
    Ensure risk classifications are completed before any drawdown and no later than 15 days after the quarterly end.
    Ensure that RMs provide the monthly Post Lending Management reports by the 16th of each month and submit the reports to RMD by the 20th of each month. Ensure all customers that have credit limits (Head Office and local credit committee) have credit ratings and ensure ratings are done before any drawdown on borrower and guarantor.
    Keep a record and diary and reminders for all Covenants, loan conditions, credit ratings, annual reviews and loan maturities.
    Keep electronic records and a spreadsheet of all credit facilities, drawdowns, rollovers, interest, all fee income (upfront, commitment, participation fee, utilisation fee, new money fee, etc.), capital for all teams, local credit review dates, credit rating review dates, HO review dates, RE-ID dates, etc.
    Ensure that all facility customers have call reports that comply with Head Office post-loan management requirements and send reminders to teams of this requirement.
    At least two call reports per facility customer per year.

    Income Management –

    Track income and issue invoice for fees and VAT for all teams.
    Keep record of each customer’s fees and interests paid and outstanding.
    Ensure Interest and Fees are advised to Accounting Department and allocated accordingly.
    Track asset development progress and Interest and Fee income per team and send YTD report to Head of Department on a monthly basis

    Treasury Administration –

    Support the Treasury Head of Department, and Treasury Dealers in order to achieve the banks targets and budgets by ensuring, risk management, compliance and AML management, and other general administrative and reporting activities are conducted in compliance with policies and procedures of the branch and Head Office.

    Compliance and AML Management –

    Ensure compliance with regulatory, policy and procedural requirements of the branch. To comply with regulatory requirements and to protect the bank from potential losses.

    Special Projects –

    Assist the Central Administration Team, Head of Treasury and Head of Corporate Banking with special projects that may present on an ad-hoc basis.

    REQUIREMENTS:

    Qualifications –

    Preferably a Master’s Degree.
    A 3-year Degree/Diploma Business-related.

    Experience/Skills –

    3-5 Years experience in Corporate Banking/Financial Services is essential.
    3 Years Administration-related experience.
    Administration Skills.
    Windows Office.
    Problem Solving Abilities.
    Negotiation Abilities.
    Communication Skills.
    Banking Products knowledge.

    ATTRIBUTES:

    Able to communicate verbally and write in English (Strong ability).
    Ability to negotiate.
    Able to work under pressure.
    Ability to work independently and manage requirement of the role.
    Financial Literacy/Numeracy.

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    Apply via company website ( http://www.datafin.com ) or

     

  • Senior Pilot Live Line (Re-advert) Senior Engineer Prof Engineering (Physical Security Systems) Chief Engineer Prof Engineering (Non-Destructive Testing) Chief Advisor Prof Project Management Middle Manager Regional Grid Access Senior Technician Secondary Plant Protection (DC and Security) Senior Advisor RMDC Condition Monitoring Middle Manager Project Portfolio Delivery (Project Development) Manager Infrastructure Projects (Re-advert)

    Job description

    Key Responsibilities

    Conduct live line operations in accordance with the approved helicopter operating procedures and Transmission live work standards, guidelines, and instructions.
    Flies a helicopter in accordance with South African Civil Authority Association (SACCA regulations.
    Ensure customer satisfaction.
    Maintain administrative efficiency.
    Contribution to overall company efficiency. 

    Skills and Competencies Required:

    Leadership

    Dynamic
    Able to withstand work pressure
    Able to work independently and as a team player
    Decision maker

     Behavioural

     Integrity
    Honesty
    Reliable
    Professionalism

    Knowledge

     Long line vertical reference flight techniques
    Power line maintenance
    Inspection/patrol
    Helicopter aided construction
    Geographical survey
    Agricultural spraying
    Emergency medical service
    Mountain flying

    Skills

     Analytic
    Interpersonal
    Communication

    Minimum requirements

    Qualification(s): 

    Commercial Pilot License (RSA) 

    Related Minimum Experience: 

    5 years
    Helicopter flight hours: total – 2000
    Pilot in Command – 1500 hours
    Turbine helicopter – 1000 hours
    Under – slung rating
    Maintenance and test flight rating

    Apply by: 18 March 2026

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    Apply via company website ( http://www.eskom.co.za/Pages/Landing.aspx ) or

     

  • Deputy Director: Industry Research Deputy Director: Property Acquisitions Deputy Director: Facilities Management Deputy Director: Physical Security Assistant Director: Industry Research Assistant Director: Property Valuation Control Works Manager: Building Assistant Director: Cleaning Services Assistant Director: User Demand Management: SAPS & IPID Assistant Director: Occupational Health and Safety Officer: Mechanical Assistant Director: Occupational Health and Safety Chief Artisan (Grade A): Electrical: Workshop Assistant Director: Security Research Analyst: Industry Research Chief Works Manager: Electrical Chief Works Manager: Mechanical Chief Works Manager: Building Scientific Technician: Water Services (Grade A) Artisan Foreman: Plumbing Workshop Administration Officer: Security Management Administration Officer:Cleaning Services Horticulturist: Horticultural Services Administrative Officer: Utilization and Contract Administrative Officer: Immovable Asset Register Administrative Officer:Cleaning Services Administrative Officer: Property Acquisitions Horticulturist: Facilities Management Artisan Production: Workshop (Grade A) Painter Artisan : Plumbing Workshop Artisan : Building (Workshop) Administrative Clerk: Technical Maintenance Administrative Clerk: Workshop Process Controller: Water Treatment Plant Supervisor: Cleaning Services Boiler Operator: Workshop Supervisor: Grounds Services Supervisor: Grounds Services – Pretoria Regional Office Supervisor: Grounds Services Horticulture: Facilities Management Supervisor: Cleaning Services Security Officer: Physical Security – Security Management Services

    REQUIREMENTS :

    A minimum of three-year tertiary qualification (NQF 6) in Built Environment, Finance, Economics, Mathematics, Statistics or equivalent qualification.
    Appropriate relevant work experience in the property or construction industries or in a data analytics or research related role at a Junior Management level (Assistant Director equivalent)

    DUTIES :

    Research and analyse financial, economic, social and other trends and topics independently. Perform data analysis and documentation of insights. Prepare comprehensive business reports.
    Perform portfolio analysis, benchmarking and performance measurement. Work closely with stakeholders with different backgrounds to validate analyses and output.
    Provide technical assistance to other units within the business. Develop analytical tools (models and dashboards) and investment related policies for the Department.

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    Apply via company website ( ) or

    www.dpsa.gov.za

     

  • Officer: Administration (SCM) Independent Contractors: Internal Audit Specialist (X5) Project Manager: Biodiversity Economy (Fixed-Term Contract) Regional Manager: Supply Chain Management Senior Manager: Supply Chain Management Mega Living Landscape Internship (12 Months Fixed-Term Contract)

    The Organisation requires the services of an Administration Officer in the Supply Chain Management Division. This position will be based at Groenkloof National Park, Pretoria.

    Requirements

    Be in possession of a Diploma or Degree in Office Management / Administration/ Secretarial / Public Management.
    NQF Level 7 in Office Administration, Administration and Public Management will serve as an added advantage.
    Should be a secretary or done secretarial or administrative work for 2 to 4 years.
    Computer literacy.
    Ability to use Microsoft Word, Excel, Teams.
    Knowledge of finance for non-financial employees.
    Ability to create report on expenditure and process invoices.
    Knowledge of office administration
    Ability to provide administrative support.
    Knowledge of manual and electronic filing systems.
    Ability to manage information and a filing system.
    Knowledge of relevant policies and procedures.
    Knowledge of organisation facts, data and information and understanding.
    Knowledge of relevant SANParks systems and knowledge of drafting minutes.
    Understanding of the Public Finance Management Act (PFMA), and all other National Treasury Prescripts relevant to SCM.
    Computer Literacy.
    Communication (written and Verbal).
    Interpersonal skills and time management.
    Planning and coordination skills.
    Basic understanding of a filing system.
    Basic Financial Management.
    Problem solving and analytical thinking.
    Attention to detail.
    Reliability and integrity.
    Multitasking ability.
    Teamwork and collaboration.
    Customer service orientation.
    Ability to work under pressure.
    Proficiency in MS Office (Word, Excel, PowerPoint, Outlook).

    Responsibilities

    Oversee daily office operations and provide administrative support to management and staff.
    Ensure adherence to SANParks policies and Procedures.
    Implement administrative best practices.
    Maintain office supplies inventory and place orders when necessary.
    Monitor asset movement and conduct regular asset verification.
    Ensure information flow (Telephonic) and handle queries.
    Manage bookings and logistics for the department.
    Photocopying, printing, binding, and collating of documents.
    Consolidate and preparation departmental reports.
    Weekly Updating of the APP, and Priority Projects.
    Arrange meetings and other events.
    Coordinate multiple diaries.
    Take minutes as and when required.
    Support onboarding processes of new employees.
    Assist with procurement processes in line with SCM policies and procedures.
    Budget monitoring, reconcile and report items of concern.
    Process requisitions, invoices, and payment submissions.
    Keep financial records.
    Conduct pre-audits on office financial records.
    Filing of financial records.
    Maintain effective filing and records management systems in accordance with the Records Management prescripts.
    Filing forms or other structured documentation.
    Updating financial files.
    Retrieve records from the manual or electronic system.
    Filing incoming mail (physical and electronic).
    Maintaining detailed records.
    Ensure proper filing of all documentation and dissemination of information.
    Support audits and compliance documentation.
    Assist with risk management and reporting requirements.

    Salary

    R409 290.00– R572 985.00 Per Annum

    Closing Date

    19 March 2026

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    Apply via company website ( N / A ) or

     

  • Sales Assistant- Pretoria Sales Assistant- CPT Sales Assistant x2- Midrand Store Manager(Contract) Assistant Store Manager

    Job Description

    Birkenstock Menlyn is looking for a Sales assistant to join their team.

    Company Values:

    We commit to the wellbeing of our team.
    We work with a positive attitude.
    We believe in our team.

    Responsibilities:

    Customer Service & Sales

    Acknowledge every customer within 30 seconds.
    Deliver excellent customer service to every customer following the Birkenstock customer service procedures.
    Establish your customer’s needs and use your technical knowledge to demonstrate benefits to meet those needs.
    Close the sale & secure add on sales.
    Invite your customer to back & turn them into Birkenstock fans.
    Monitor your daily sales against your individual budget every few hours.

    Inventory

    Replenish footwear, apparel and accessories from the storeroom daily.
    Minimizing shrinkage by zoning the store, acknowledge customers, and following the Birkenstock changing room policy.
    Ensure stock entries in the POS systems are accurate.
    Process deliveries by checking quantities, invoices, tagging, hanging and pricing product, and recording in the POS System
    Process customer orders.

    Daily Operations

    Ensure store housekeeping is maintained daily including dusting, cleaning mirrors, vacuuming, emptying bins, clearing counter area and tidying change rooms.
    Assist the manager with open and closing the store.

    Training

    Your training is your responsibility.
    Ensure you are allocated a buddy initially & that you learn from them.
    You must attend quarterly training sessions & complete the assessments.
    Ensure you receive monthly feedback from your manager.
    Set up monthly meeting with your store manager to discuss your progress through the Birkenstock rookie pack.
    These are essential as they will determine your eligible for promotions.

    Merchandising

    Observe the store & maintain stock presentation in accordance to the Birkenstock standards.
    Ensure sizes are replenished.
    Assist the team to change the windows/ Mannequins fortnightly.
    Ensure POS materials are stored in the area to avoid damage.
    Grade 12 or Equivalent
    Min. 6 months customers services experience
    Birkenstock knowledge advantageous
    Able to work flexible shifts.

    Perks & Benefits

    You get to work for a rapidly expanding distributor with aspirational brands.
    Comprehensive health benefit 
    Quarterly Uniform allowance 
    Staff discount (50% off for you and your family across all the brands within the group)
    Company performance incentive scheme
    Long-service incentives
    Holistic Employee Wellness programme
    The group prides itself in its effort to drive continuous employee engagement activities to enable a connected culture

    Closing Date 23 March 2026

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    Apply via company website ( www.aresholdings.co.za ) or

     

  • Management Accountant

    QUALIFICATION AND EXPERIENCE:

    A Bachelor’s Degree in Financial Accounting or Related Financial Qualifications. Post -graduate Degree will serve as an advantage. 4 – 5years’ minimum management accountant experience, of which 3 years must preferably be in a public sector entity. Qualified Accountant (CIMA, ACCA, ACA or other recognized qualification). CA(SA) will be an added advantage. Excellent numeracy and analytical skills. Accountable and handle figures with integrity.

    KNOWLEDGE AND SKILLS:

    Principles and practice of financial accounting, Public Finance and Management Act (PFMA), Treasury Regulations and guidelines.
    Public entity budgeting and reporting process.
    Knowledge of Sage Evolution and SAGE 300, Caseware
    General Recognised Accounting Practice (GRAP). Asset Management principles and guidelines.
    Public Service Anti-Corruption Strategy and anti-corruption and fraud prevention measures.
    Medium Term Strategic Framework (government priorities) and Estimates of National Expenditure (ENE).
    Framework for managing performance information.
    Excellent numeracy and analytical skills.
    Accountable and handle figures with integrity.

    KEY DUTIES AND RESPONSIBILITIES

    FINANCIAL MANAGEMENT

    Prepare and submit quarterly reports to Department of Agriculture (DoA) and National Treasury.
    Produce detailed annual cash flow forecasts to form the basis for the working capital.
    Monitor expenditure trends and reports on variances on a monthly basis.
    Prepare monthly management expenditure reports
    Prepare cash flow projections linked to the annual budget.
    Manage the budget process for NAMC.
    Manage the assests of the NAMC.
    Compile quarterly expenditure report for Management, Audit & Risk Committee and Council.
    Compile Treasury regulations and the PFMA checklist on a quarterly basis.
    Keep abreast of National Treasury, developments and other regulatory requirements.
    Review financial data for accuracy, correctness and completeness.
    Actively participate in the Extended Management Committee as required.
    Assist with the development and presentation of finance policies and procedures to the organisation.

    BUDGETING

    Discuss budget against actual expenditure with senior managers on a monthly basis.
    Prepare MTEF budget submission and submit to DoAe and Treasury as per deadlines
    Provide advice and reports to management and staff in the development of budgets, budget methodology and management of budgets.
    Manage the assets of NAMC, this includes maintenance of fixed assets register, reconciliations and annual review of useful lives of assets, etc
    Prepare monthly reconciliation for various general ledger accounts, e.g., leave provision, prepayments, accruals, assets, etc

    REPORTING

    Provide advice and reports management and staff in the development of budgets, budget methodology and management of budgets.
    Manage the preparation of monthly management reports.
    Investigate anomalies and variances; provide ad hoc reports as required by management.
    Provide historical financial data and analysis as requested.

    COMPLIANCE AND INTERNAL CONTROLS

    Ensure compliance with all statutory requirements relating to financial control, financial management and accounting.
    To analyse processing and procedural requirements and recommend standard procedures and systems to be followed across the organisation.
    Ensure suitable internal controls are in place and assist in the training of staff in new processes or procedures.
    Assist with preparations and execution of internal and external Audits.
    Ensure quality of the work submitted is of a standard required within the division.
    Ensure that all audit queries are addressed in timely manner

    Apply via company website ( N / A ) or

    namc.simplify.hr

     

  • HR Intern HR Manager Temp Payroll Administrator

    Education & Experience:

    Currently pursuing or recently completed a degree/diploma in Human Resources, Business Administration, or a related field.
    Some exposure to HR processes through coursework, projects, or prior internships is a plus.

    Core Competencies & Skills:

    Performance Management:

    Assist in maintaining performance records and tracking appraisal schedules.
    Support HR team with organizing performance review meetings and documentation.

    Training & Development:

    Help coordinate onboarding sessions and training programs.
    Maintain training records and track participation.

    Employee Relations:

    Support HR in addressing basic employee queries and documenting concerns.
    Observe and learn conflict resolution and grievance processes under supervision.

    Recruitment & Talent Acquisition:

    Assist with posting job advertisements, screening resumes, and scheduling interviews.
    Support onboarding process for new hires, including document collection and orientation.

    Employee Engagement:

    Assist in organizing engagement initiatives, events, and recognition programs.
    Collect feedback from employees and help with surveys or engagement activities.

    Technical & Administrative Skills:

    Proficiency in MS Office (Word, Excel, PowerPoint) is preferred.
    Ability to maintain accurate records and assist with reporting.
    Quick learner with attention to detail.

    Personal Attributes:

    Strong communication and interpersonal skills.
    Positive attitude and willingness to learn.
    Ability to work collaboratively and support multiple HR functions simultaneously.

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    Apply via company website ( N / A ) or

     

  • SHEQ Administrator

    SUMMARY OF KEY RESPONSIBILITIES INCLUDED BUT NOT LIMITED TO:

    Conduct and optimise SHEQ Induction sessions to ensure that all associates, contractors, and visitors are well informed of Rand Refinery processes and the risks associated.
    Assist with the administration and filing of reports, checklists, and records. The action plan is tracked through this office for the SHEQ department.
    Assist with the compilation of Risk Assessments and participate in the incident investigations for contribution and data capturing.
    Assist with collating data for environmental and sustainability.
    Work with SHE specialists to compile method statements or SHE requirements that contractors will use to compile risk assessments.
    Assist with administration and archiving of the safety files for contractor management.
    Ensure that checklists, documents and records are archived under the system requirements.
    Ensure that the SHEQ administration process is updated and maintained.
    Coordinate site services administration and control (pest control, cleaning, laundry, canteen and POS system).
    Assist with the collection and capturing of the waste manifests properly.
    Assist with internal and external audit preparations.
    Conduct surveys and routine assessments of radiation/waste management and hazards of all operational conditions.

    Requirements

    MINIMUM REQUIREMENTS:

    Completed Matric qualification.
    National Diploma: Safety Management or equivalent.
    Specialised Radiation Protection Officer training would be advantageous
    Preference will be given to a candidate with 3-5 years working experience within a manufacturing or chemical facility.

    Apply via company website ( N / A ) or

    randrefinery.mcidirecthire.com

     

  • Senior Sales Generator (2IC) – Goldenwalk

    Minimum requirements:

    1-2 years of experience in a similar retail role is preferred
    Proficient in MS Office and retail management systems
    Strong understanding of cash handling, stock management, and compliance with administrative procedures
    Solid knowledge of retail policies and procedures
    Demonstrated experience in managing customer service, staff, stock, and sales
    Exceptional organizational and planning skills
    Flexible and available to work weekends, public holidays, and shifts as required

    Key Responsibilities:

    Sales: Drive store performance by meeting and exceeding sales targets
    Stock & Inventory control: Maintain accurate stock levels and efficient stock management
    Operations & Administration: Oversee internal processes, ensuring adherence to policies and smooth day-to-day operations
    Employee satisfaction: Foster a positive and motivated team environment
    Customer satisfaction: Deliver exceptional service and resolve customer concerns effectively

    Apply via company website ( N / A ) or

    footgear.mcidirecthire.com