processes;
monitoring and coordinating cargo loading and unloading operations; Familiar with the shipping booking process
monitoring and coordinating cargo loading and unloading operations; Familiar with the shipping booking process
such as office administration, bookkeeping, DIY coordination, and other responsibilities that may arise as Must maintain confidentiality about information, data, people, and scheduling, all with exceptional discretion CEO and company and compiling summary documents. Booking and arranging travel, transport, and accommodation internal meetings with meticulous planning and coordination. Provide support and weekly reports on individual cleaning/maintenance staff and cleanliness of office space. Coordinate and participate in office maintenance and renovations
such as office administration, bookkeeping, DIY coordination, and other responsibilities that may arise as Must maintain confidentiality about information, data, people, and scheduling, all with exceptional discretion CEO and company and compiling summary documents. Booking and arranging travel, transport, and accommodation internal meetings with meticulous planning and coordination. Provide support and weekly reports on individual cleaning/maintenance staff and cleanliness of office space. Coordinate and participate in office maintenance and renovations
accountant
Store Manager at CUM Books. With a history spanning over 80 years, C.U.M. Books is dedicated to putting and contribute to the growth and success of CUM Books. Apply now and be part of a team with a purpose
intercompany accounts. •Performing analysis and coordinating with intercompany counterparts to resolve any depend, including control checks of transaction data and review of supporting tax documentation to identify and returns. Bank & Cash: •Processing of Cash book postings – receipts, payments from bank statements Pastel. •Reconciliation of Bank statements / Cash book. •Petty cash reconciliation and reporting on a weekly
intercompany accounts. Performing analysis and coordinating with intercompany counterparts to resolve any depend, including control checks of transaction data and review of supporting tax documentation to identify and returns. Bank & Cash: Processing of Cash book postings – receipts, payments from bank statements Pastel. Reconciliation of Bank statements / Cash book. Petty cash reconciliation and reporting on a weekly
intercompany accounts. Performing analysis and coordinating with intercompany counterparts to resolve any depend, including control checks of transaction data and review of supporting tax documentation to identify and returns Bank & Cash: Processing of Cash book postings receipts, payments from bank statements Pastel Reconciliation of Bank statements / Cash book Petty cash reconciliation and reporting on a weekly