Cultivate existing relationships with retail chain stores' buyers/independents, wholesalers as well as finding
with Product Managers, Technicians, Procurement, Stores and Buying Department Assist Sales team leaders
with Product Managers, Technicians, Procurement, Stores and Buying Department Assist Sales team leaders
payments Conduct daily sales reconciliations for all stores, reconciling weekends and public holiday sales monthly reconciliation of petty cash items at the stores Assist with asset/liability reconciliations and
from customer's vehicles, must be kept together, stored safely, and recorded for easy recognition of ownership Where necessary, management will provide from stores special tools and/or equipment outside the normal
verification checks for retail stores. Daily Cycle counts for retail stores – issue and reconciliation Prepare
verification checks for retail stores. Daily Cycle counts for retail stores – issue and reconciliation.
verification checks for retail stores. Daily Cycle counts for retail stores – issue and reconciliation.
, provisioning end-user computing resourcing, identity & access management, etc. Implement operations
Enhance employer branding by promoting our company identity and values across various media and professional