providing requested documents, explanations, and assistance to auditors to ensure audit objectives are met Warehouse Management with Cyclical and the Bi-Annually Stock take and related reconciliations to the system. management strategies to minimize excess or obsolete stock and reduce holding costs. Review insurance policies cost-effectiveness. Quarterly Stats submission as required. Assist with the development of new financial models to to improve efficiency and reporting quality. Assist in the development of annual budgets, forecasts, and
requirements are completed on site as and when necessary Assist the hire desk in obtaining paperwork from customers customers, i.e. credit applications and orders Assist Credit Control in collection of outstanding monies