daily. Perform monthly stock reconciliations of physical counts for all regional distributors and highlight
daily. Perform monthly stock reconciliations of physical counts for all regional distributors and highlight
containerised vessel transportation -Exchange and physical warehousing -Customs clearing -Overland transport
containerised vessel transportation -Exchange and physical warehousing -Customs clearing -Overland transport
transactions must be completed on the same shift of physical receipts Checks on a daily basis that staff on
transactions must be completed on the same shift of physical receipts Checks on a daily basis that staff on
and areas for improvement. Organize and oversee physical inventory counts and audits to ensure accuracy