processing accounts Credit vetting Collections Monthly statements Recons of payments, credit notes and statements
documents to final reconciled trial balance. Facilitate monthly meetings between client and Partners preparing training material, co-ordinate and facilitate training. Assist in the billing of monthly jobs
packs. Review and reconciliation of Petty Cash and Credit Cards. Monthly reconciliations of the balance sheet
management
range of products is on the shelves at all times Facilitate rotation of stock on a regular, FIFO basis Report