FIFO basis Report low stock levels, out-of-stock items, damaged stock and expired stock to management Assist Assist with loading and off-loading of stock Ensure items without barcodes are clearly marked Assist with
and Shareholders Providing clarity on reconciled items and fostering transparent communication Apply Now
reconciliations and resolve queries. Prepare and maintain uploads into reporting system (Hyperion); Review all third-party
reconciliations and resolve queries. Prepare and maintain uploads into reporting system (Hyperion); Review all third-party
documentation to internal and external auditors Any ad hoc items where assistance may be required Finance Diploma
bi-monthly for irregularities. Run and review Open Item accounts monthly. Ensure consistent and accurate
bi-monthly for irregularities. Run and review Open Item accounts monthly. Ensure consistent and accurate
Hoc Support: Provide assistance with any ad hoc items as required. Qualifications and Skills Required:
and loans. Manage tax-related financial statement items and perform balance sheet reconciliations. Ensure
and loans. Manage tax-related financial statement items and perform balance sheet reconciliations. Ensure