administration & reconciliation.
- 9 x Sales Reps Commissions and incentive reports preparation for the bank.
- Sales reps analysis: expenses vs sales.
- Sales Reps allowance sheet administration administration.
- Facilitating reps with vehicle maintenance authorisations with the fleet department department.
- Facilitating reps with expense requests for upcoming trips.
- VAT reconciliation and removals and all Queries concerned (Credit Cards for Reps/Management).
- Assistance with the month end
consumables.
Resolving customer queries. Liaising with sales reps regularly regarding customers. Daily customer payment
of supporting documentation Liaise with customers/reps on movement of goods Inventory Management and Reconciliation:
financial managers.
financial managers. Scan & keep track of all reps' new sales. Assist the financial manager with VAT
position, compliance with the relevant license to be a rep is required. Good understanding of Institutional
position, compliance with the relevant license to be a rep is required. Good understanding of Institutional
financial managers. Scan & keep track of all reps' new sales. Assist the financial manager with VAT
deadline. Assist with the collection of cash from the reps and with banking when required. Vet debit orders