to grow the Principal Client's brands in the allocated outlets. The position is also responsible for Sales Reprisentatives and Filed Manager in the allocated region as per set target. Recruitment of sales all Sales Representatives remain within their allocated daily KM budget and report back to business on and leadership Lead and coach the teams in the allocated region to achieve the set objectives. Develop Services Ensure Sales Representatives have an allocated RTMP to pull stock from. Ensure Sales Representatives
to grow the Principal Client's brands in the allocated outlets. The position is also responsible for Sales Reprisentatives and Filed Manager in the allocated region as per set target. Recruitment of sales all Sales Representatives remain within their allocated daily KM budget and report back to business on and leadership Lead and coach the teams in the allocated region to achieve the set objectives. Develop Services Ensure Sales Representatives have an allocated RTMP to pull stock from. Ensure Sales Representatives
Accounts Receivable; ensure that all receipts are allocated; balance daily with the bank and liaise with Bank Bank Recon Administrator; follow up on unknown allocations; attend to client; assist with the management
the sales team by taking orders for processing, allocating and picking stock, invoicing and distributing the sales team by taking orders for processing, allocating and picking stock, invoicing and distributing
statements
timeously as per agreed terms, and payments are allocated Ensure all documents are received, matched and information Send remittances to suppliers monthly Allocation of costs to GL and cost centres Monthly reports
professional management of ACR accounts Accurate allocation of daily payments Provide assistance and support support to internal & external customers Allocate payments to correct customer accounts and make sure Attend to cash accounts, reconciliatons and allocations Discuss queries and warranties with necessary
professional management of ACR accounts Accurate allocation of daily payments Provide assistance and support support to internal & external customers Allocate payments to correct customer accounts and make sure Attend to cash accounts, reconciliatons and allocations Discuss queries and warranties with necessary
statements Prepare payment schedules for auto allocation Allocate received payments Reconcile accounts monthly
Comparing items received against items ordered Allocating stocks to bins Packing away of stocks into correct discrepancies Performing random checks on stocks Allocating stock to customers and technicians Ensuring all