create and analyze financial reports, ensure compliance with legal requirements, process accounts payable senior credit controller Cash book processing and Bank reconciliations Review of wages Reconcile General
create and analyze financial reports, ensure compliance with legal requirements, process accounts payable senior credit controller Cash book processing and Bank reconciliations Review of wages Reconcile General
Maintenance of beneficiaries list on banking system Creating payments Daily bank deposits reconciliation and follow-up
asset register
company fixed asset register Review payments on the banking platform Managing the monthly cash flow projections
company fixed asset register Review payments on the banking platform Managing the monthly cash flow projections
products, particularly of fragile items Enforce 5S compliance Keep updated inventory records Matric Warehouse
basis with relevant product information, KAM compliance, Store knowledge etc. Protect existing shelf
basis with relevant product information, KAM compliance, Store knowledge etc. Protect existing shelf