accounts (Income Statement with expense comparison) Price updates Customer queries and following up on outstanding
Ensure that all bank statements and recons are stored and easily accessible. Accounting Assist in preparing Ensuring that all documents relating to payments are stored correctly. Cash Books Ensuring that all transactions that all documents relating to bank recons are stored correctly. Accounting Ensuring Intercompany transactions
sure that records are kept up to date, filed, and stored appropriately for both internal and external auditing
Understanding the world of BTL agency and (preferably) in-store / P oint of Sale / display selling (advantageous
Understanding the world of BTL agency and (preferably) in-store / P oint of Sale / display selling (advantageous
financial review benchmarks and analysis of ICU stores Financial training to franchise partners, annual
required and within specified timelines Loading pricing claims on the live schedule for timely investigation
application • Process credit notes and re invoicing i.r.o price queries • Keep customer informed of their credit
the correct intercompany contracts at the correct prices and tonnages are used. Ensuring that Safex, the