submissions) Review the monthly payroll for all stores. Review the journals, reconciliations and management
Drafting of monthly management accounts. Liaison with stores to ensure the stock valuation. Provide insight
Drafting of monthly management accounts. Liaison with stores to ensure the stock valuation. Provide insight
submissions) Review the monthly payroll for all stores. Review the journals, reconciliations and OPS management
submissions) Review the monthly payroll for all stores. Review the journals, reconciliations and OPS management
monthly stock reports to management. Assistance in stores when required. Manage office and assist with task
of pension and trust regulations Appropriately store/input and reference all client documentation within
with the clearing agent in respect of the rebate store. Perform VAT reconciliations. Oversee vendor and
with the clearing agent in respect of the rebate store. Perform VAT reconciliations. Oversee vendor and