cost centre
reports (Actual vs. Budget) and distribute to stakeholders. Reporting on variances,
performance
deals on the prepared pricing cover sheet and distributing within the department Scheduling the claim on
deals on the prepared pricing cover sheet and distributing within the department Scheduling the claim on
reviews Compiles required accounting packs for distribution and decision making Calculates the financial
engagements and termination processing on Sage. Distribution of salary audits for Division Head approval
reconciliations, collections, and monthly statement distribution. Report any revenue anomalies immediately. Reconciliations:
the AOP effectively in order to ensure optimum distribution efficiency, service to sales, overall effectiveness Minimum 5 years' experience in a warehouse & distribution environment Warehousing diploma or degree Computer
following areas: Monthly Statement downloads and distribution XERO Accounting daily transaction allocations
reconciliations, collections, and monthly statement distribution. Report any revenue anomalies immediately. Reconciliations:
following areas: Monthly Statement downloads and distribution XERO Accounting daily transaction allocations