This job has been expired on 25-06-24 !
Job Id: 4761
Skyview Construction and Consulting Services Inc.
visa@cankurdimmigration.com
December 28, 2023Calgary
Alberta
Full Time
Office Clerk: $25/hr
Responsibilities:
Type and proofread correspondence, forms and other documents
Receive and forward telephone or electronic enquiries
Maintain and prepare reports from manual or electronic files, inventories, mailing lists and databases
Sort, process and verify applications, receipts and other documents
Process incoming and outgoing mail manually or electronically
Send and receive messages
Perform basic bookkeeping tasks
Compile data, statistics and other information
Provide general information to clients and the public
Photocopy and collate documents for distribution, mailing and filing
Order office supplies and maintain inventory
File material in storage area
Label files according to retention and disposal schedules
Label, file and retrieve documents
Locate and remove files requested
Organize and schedule office work
Store, update and retrieve financial data
Main Duties Load and unload construction materials, and move materials to work areas Erect and dismantle concrete forms, scaffolding, ramps, catwalks, shoring, and barricades required at construction sites Mix, pour, and spread materials such as concrete and asphalt Assist tradespersons such as carpenters, bricklayers, cement finishers, roofers, and glaziers in construction activities Assist in demolishing […]
CANIWAY Immigration Services Ltd. is seeking a Legal Assistant to conduct all the duties of the position. We are looking for an individual who is efficient and comfortable being a member of a team. Job title: Legal Assistant / NOC 1242 Location: 908-955 Marine Drive, West Vancouver, B.C, V7T1A9 Email: info.caniway@gmail.com Number of vacancies: 1 […]
Calculate, prepare, and issue documents related to accounts such as bills, invoices, inventory reports, account statements, and other financial statements using computerized and manual systems. Code, total, batch, enter, verify, and reconcile transactions such as accounts payable and receivable, payroll, purchase orders, cheques, invoices, cheque requisitions, and bank statements in a ledger or computer […]