Beautiful Manamela
Weighbridge and Data clerk at Concor Construction- Claim this Profile
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Bio
Experience
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Concor Construction
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United States
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Civil Engineering
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1 - 100 Employee
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Weighbridge and Data clerk
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Aug 2008 - Present
Filling all the material and concrete delivery notes. Record all the plant time sheet. Weigh all the material delivery trucks. Data capturing. Recording all the third party concrete and invoice them on weekly basis.
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Senior clerk
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Nov 2012 - Jan 2019
Perform clerical duties associated with the compilation and review of the project data books as per client requirements, Compiling data books including register for final review and acceptance by the client, Searching of technical document on eB and share point for data book compilation, Preparing of data books for client and designer review and deadlines, receiving of technical document for data book processing, proof reading of technical document received from engineers and site agent, Performing of any document control function as required by supervisor, Capture document or information and transmittal into eB via scanning tool index, upload document onto share to be accessed by client, To assist with maintaining of adequate filing system, To assist with photocopying and filing hard copies
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Cashier
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Apr 2007 - Apr 2008
Receiving payments by cash, checks and credit card. Issue receipts refund, credit or change due to Customer. Count money in cash at the drawers at the beginning of the shifts to ensure that amounts are correct and that there is adequate change, Resolve customers complaints. Calculate total payments received during a time period, and reconcile this with totals sales. Keep periodic balance sheet of amount and number of transactions. Sort, count and wrap currency and coin. Receiving payments by cash, checks and credit card. Issue receipts refund, credit or change due to Customer. Count money in cash at the drawers at the beginning of the shifts to ensure that amounts are correct and that there is adequate change, Resolve customers complaints. Calculate total payments received during a time period, and reconcile this with totals sales. Keep periodic balance sheet of amount and number of transactions. Sort, count and wrap currency and coin.
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Education
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Lephalale FET college
Certificate, Management assistant