Source and negotiate with subcontractors and suppliers to achieve the best value.
Prepare Letters of Award (LOA), subcontract agreements, and purchase orders.
Monitor and manage project timelines by coordinating with project managers, site supervisors, consultants, subcontractors, and suppliers to ensure works are completed according to schedule.
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Responsible for OSAT change management projects (major changes) ensuring projects are executed fulfilling project requirements.
Identify package level opportunities for cost down and executes cost down projects
Responsible for package platform assessment between subcons and provides mapping to in-house capability supported by the segments and package platform managers.
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To service and strengthen our business relationship with developers, lawyers, Valuers & real estate agents.
Ensure compliance with internal Policies, external Authorities Regulators / Legal / ML- KYC, Credit Policies and Service Standards.
Exercise due care and diligence on matters related Money Laundering and KYC in the day to day operations, which include account opening, reporting suspicions and provide support to superior and subordinates.
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Consolidate sales performance reports for Centre Manager
Assist in events and campaigns (coordinating, merchandise)
Attend to walk-in or call-in clients (e.g inquiries on transactional banking, membership services, product offered, account balances, currency rates) and if necessary direct to RMs
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Own team’s capability development thru identifying gaps, planning and training/ coaching to enable them to achieve individual target thus achieving group target.
Plan route and coverage for own sales team.
Resolve all operational issues e.g. promotion execution and addressing trade issues.
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Oversee and manage the overall accounting and administrative functions of the Finance Division (including Accounts, Credit Control & Business Ofiice).
Manage the full spectrum of financial and accounting functions, including financial reporting, budgeting, forecasting, treasury, taxation, SST, cash flow management, and costing.
Ensure timely preparation of monthly, quarterly, and ad-hoc financial reports, while providing financial analysis and recommendations to Management for decision-making.
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To capture and record simulation and planning parameters and data into the system and on forms and on radiograph (verification films) and to maintain and and upkeep records pertaining to the simulation and planning procedures securely.
To perform verification based on Electronic Portal Imaging prior to treatment.
To perform daily external beam radiation treatment for patients undergoing the course of treatment as per radiation Prescription ordered by Oncologist & Radiotherapist adhering to the radiation safety practices as per laws and local rules applied.
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