stock purchases. Responsible for accurate stock reconciliation of all storage locations on a daily basis.
followed daily.
stock balance irregularities. Daily stock issue reconciliation. Carry out and manage monthly stock takes.
being followed daily. Perform monthly stock reconciliations of physical counts for all regional distributors
being followed daily. Perform monthly stock reconciliations of physical counts for all regional distributors
leading and driving the electronic supply and reconciliation of SOPs ; Ensuring continuous communication
leading and driving the electronic supply and reconciliation of SOPs ; Ensuring continuous communication
system adjustments and zone code applications; Reconciliation of transporters invoices weekly / monthly;
system adjustments and zone code applications; Reconciliation of transporters invoices weekly / monthly;