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.
account handover. Reconcile independent and chain store accounts and follow up on outstanding matters. Resolve
account handover. Reconcile independent and chain store accounts and follow up on outstanding matters. Resolve
clerk for processing Personnel Files Maintenance Store staff record files. Reporting Daily Audit Trial