several entities Process all bank statements, supplier and journal entries up to Trial balance Prepare monthly financial reports Process payments on online banking Process and reconcile supplier accounts Reconcile
accounting tasks, including data entry, reconciliations, and journal entries Assist with month-end and year-end detail and ability to maintain accuracy in data entry and calculations Excellent analytical and problem-solving
accounting tasks, including data entry, reconciliations, and journal entries Assist with month-end and year-end detail and ability to maintain accuracy in data entry and calculations Excellent analytical and problem-solving
accounting tasks such as reconciliations and journal entries Assist with budgeting and financial forecasting
company policies and procedures Prepare journal entries and ensure accuracy and completeness Assist in
of the BOMs to actual processes Authorization of bank and FX payments Processing and authorization of within a fast-moving environment Minimum advanced level user of Microsoft Office Syspro working knowledge
of the BOMs to actual processes Authorization of bank and FX payments Processing and authorization of within a fast-moving environment Minimum advanced level user of Microsoft Office Syspro working knowledge
centers based on sales projections and inventory levels Collaborate with buying teams to develop seasonal Monitor inventory levels and make adjustments to purchase orders to optimize stock levels Review and analyze
centers based on sales projections and inventory levels Collaborate with buying teams to develop seasonal Monitor inventory levels and make adjustments to purchase orders to optimize stock levels Review and analyze
developing supply plans, and optimizing inventory levels to meet customer demand while minimizing excess fulfil customer demand and maintaining service levels. Ability to provide stock analysis to drive profitability profitability and maintain optimal stock levels Resolving issues where stock does not arrive on time in