statement at month end
department to resolve queries. Attend monthly stock takes, count stock & analyze variances. Processing with sites regarding actual movement of stock. Stock Count posting & reconciliation: Reconcile mid-month
at various regional business units, including stock counts, open orders, receipting, cash handling, purchasing
final trial balance. Assist with the yearend stock counts. Any other tasks as required by the financial
final trial balance. Assist with the yearend stock counts. Any other tasks as required by the financial
final trial balance. Assist with the yearend stock counts. Any other tasks as required by the financial
team for daily cyclical counts and month end stock counts
in duties such as:
at various regional business units, including stock counts, open orders, receipting, cash handling, purchasing
to enhance internal controls, participate in stock counts, and ensure alignment of operational costs with