in line with client requirements. Complete all admin and filing, in accordance with customers' requirements
in line with client requirements. Complete all admin and filing, in accordance with customers' requirements
completed timeously. Ensuring customer POD's are captured at the relevant NDC/Branch Stock counts at financial
completed timeously. Ensuring customer POD's are captured at the relevant NDC/Branch Stock counts at financial
aging and commentary to management Accounting and admin Month end revenue analysis and journal entries Month
and external operations that are impacted by the capture, storage, processing and dissemination of information