Job Id: 2039
Great Tel Mobility Inc.
visa@cankurdimmigration.com
August 18, 2022Calgary
Canada
Full Time
Full Time Information Clerk Supervisor $28.87/Hr.
Customer and information services supervisors supervise and co-ordinate the activities of workers in the following unit groups: Customer service representatives – financial institutions (6551) and Other customer and information services representatives (6552). They are employed by banks, trust companies, credit unions and similar financial institutions, retail establishments, contact centres, insurance, telephone and utility companies and other establishments throughout the private and public sectors.
This group performs some or all of the following duties:
Co-ordinate, assign and review the work of clerks engaged in the following duties: providing information and customer service; and serving customers in banks, trust companies and other financial institutions
Examine and verify accuracy of work and authorize routine deposits and withdrawals
Establish work schedules and procedures and co-ordinate activities with other work units or departments
Resolve work-related problems and prepare and submit progress and other reports
Identify training needs and train workers in job duties and company policies
Requisition supplies and materials
Ensure smooth operation of computer systems and equipment and arrange for maintenance and repair work
May perform the same duties as workers supervised.
Company Legal Name: 11863509 Canada Inc. Company Operating Name: Machi Machi Downtown Toronto Business address: 575 Yonge Street, Toronto, Ontario, Canada M4Y 1Z2 Title of position: Bubble Tea Shop Manager NOC 2021:60030 Starting date: ASAP Job Duties: Manage the day-to-day operations of Machi Machi Downtown Toronto by leading all tea shop employees to deliver service […]
Main duties Calculate and prepare cheques for payroll Calculate fixed assets and depreciation Keep financial records and establish, maintain, and balance various accounts using manual and computerized bookkeeping systems Maintain general ledgers and financial statements Post journal entries Prepare other statistical, financial, and accounting reports Prepare tax returns Prepare the trial balance of books Reconcile […]