from operational departments, conduct monthly stock counts, and reconcile physical inventories with theoretical Offer guidance and assistance for annual audit stock count preparations, including coordinating and resourcing
reconciliations of Cashbook entries. Monthly and annual stock count co-ordination. Processing of stock Adjustments experience in the FMCG industry. Prior experience of stock counting. Ability to work independently. Prior experience
party cash accounts.
Oversee weekly cycle stock counts.
Assist with USA payroll schedule.
Assist
reconciliation Journals Bond accounts Loan accounts Stock counts / Inventory counts Reconciliation of loan accounts
Oversee stock takes. Analyses and investigate stock count variances. Requirements: Bachelor of Commerce
review Management Accounts Oversee and manage stock count process Review of materials utilization and recovery
TOWN and SA CITIZENS Form part of an audit team Stock counts Performed various reconciliations Compilation
operational processes such as cash up sheets and stock counts Assisting in the compilation of tax returns
Ensuring unit adhering to SOP's. Attend ad-hoc stock counts. Review open orders and ensure all unit receipting
ID set up and stock items master data management Month end production inventory counts confirmations