cashbook journals and accruals. Scan and save cashbook payments. General filing of finance documents and records cashbook and reallocation journals at month-end. Scan financial documentation as needed. Assist the Cashbook
cashbook journals and accruals. Scan and save cashbook payments. General filing of finance documents and records cashbook and reallocation journals at month-end. Scan financial documentation as needed. Assist the Cashbook
register for the current payment month Match and file all GRNS from the goods receiving department Forward supervisors/managers with ad hoc duties Prepare and file documents for archiving Assist with financial year
register for the current payment month Match and file all GRNS from the goods receiving department Forward supervisors/managers with ad hoc duties Prepare and file documents for archiving Assist with financial year
acquittals to shipping line
stock to management Assist with counting of stock files and general stocktaking Adhere to company operating