Purchasing Executive is responsible to source and buy materials, goods, and services on behalf of the employer to be resold or used in daily operations. Beside
Coordinate and monitor supply chain operations - Ensure premises, assets and communication ways are used effectively - Utilize logistics IT to optimize
Checking all cheques received from sales agents or customer and arrange bank in on timely manner. -Update daily incoming transaction, ie: Cheques, cash and
Responsible for securing existing and new revenue through dealing within SF's existing portfolio of Landlord as well as expansion through new store
Serves customers by providing product and service information and resolving product and service problems. - Attracts potential customers by answering product
1. To oversee the daily operations of the accounting department and ensure compliance with accounting policies and regulatory requirements. 2. To prepare
Serves customers by providing product and service information and resolving product and service problems. - Attracts potential customers by answering product
Responsibilities: - Oversee day to day operation and ensuring smooth operation on the restaurant. - Able to mentor staff to achieve excellent services for
**JOB SUMMARY**: Responsible for the implementation of key strategies and initiatives for patients, healthcare providers and AJ Pharma Sales. Will collaborate
How we support the Whole You: Our benefits are a good reason to come to JLL.We are committed to hiring the best, most talented people in our industry, and then
To plan, manage, measure and coordinate end-to-end all marketing activities / campaigns / events and branding activities of the company. - Liaison with the
Purchasing Executive is responsible to source and buy materials, goods, and services on behalf of the employer to be resold or used in daily operations. Beside
Coordinate and monitor supply chain operations - Ensure premises, assets and communication ways are used effectively - Utilize logistics IT to optimize
Checking all cheques received from sales agents or customer and arrange bank in on timely manner. -Update daily incoming transaction, ie: Cheques, cash and