should be put on hold. Cash book reconciliation Daily reconciliation of cash sales to system generated listings, actual cash on hand, credit cards and EFT payments. Reconciliation of cash account in order up of outstanding fund. Petty Cash Reconciliation Upkeep of petty cash used by means of a recon ensuring ensuring all funds issued by means of petty cash slip and validated by means of tax invoice. Preforming reconciliations
should be put on hold. Cash book reconciliation Daily reconciliation of cash sales to system generated listings, actual cash on hand, credit cards and EFT payments. Reconciliation of cash account in order up of outstanding fund. Petty Cash Reconciliation Upkeep of petty cash used by means of a recon ensuring ensuring all funds issued by means of petty cash slip and validated by means of tax invoice. Preforming reconciliations
correspondence with customers related to goods in transit control.
outstanding supplier orders.
expedite outstanding supplier orders. Tracking of in-transit shipments. Update Dashboard on order shipment details
correspondence with customers related to goods in transit control. Assist with adjudication and resolving
correspondence with customers related to goods in transit control.
correspondence with customers related to goods in transit control. Assist with adjudication and resolving
correspondence with customers related to goods in transit control. Assist with adjudication and resolving