Reconciliation and clearing of deposit control / receipting control accounts (together with debtor's administrators) contracts Running month end reporting on cost centres Cross charging inter-group companies correctly Must meet deadline Preparation of a full VAT reconciliation: Control Account Reconciliation VAT IT14SD reconciliations
contracts Running month end reporting on cost centres Cross charging inter-group companies correctly Must meet
Supporting the team with any ad-hoc requirements. Logistics, orders, and returns. Weekly reporting. Maintaining
Reconciliation and clearing of deposit control / receipting control accounts (together with debtor's administrators) contracts Running month end reporting on cost centres Cross charging inter-group companies correctly Must meet deadline Preparation of a full VAT reconciliation: Control Account Reconciliation VAT IT14SD reconciliations
communication, marketing tactical campaigns, upsell and cross sell campaigns, across the STI brands and 1Life onboarding sequences, re-engagement, upsell and cross sell, boost customer engagement and the overall
communication, marketing tactical campaigns, upsell and cross sell campaigns, across the STI brands and 1Life onboarding sequences, re-engagement, upsell and cross sell, boost customer engagement and the overall
Main duties will also include quality control, stock control, general administration, opening and closing
Monthly internal business reporting and controlling. Financial control over inventory and assets and monthly
Conflict management. Financial control. Developing and implementing quality control programs Planning and preparing
Conflict management. Financial control. Developing and implementing quality control programs Planning and preparing