Responsibilities include: Maintain Fixed Asset register, new builds, revamps and scrapping to process and reconcile Payroll; Depreciation Bookkeeping up to Trial balance Management Accounts – preparation, corroboration
accrual and provision journals
month end accrual and provision journals Review balance sheet recons Review reconciliation of all inter-company
month end accrual and provision journals Review balance sheet recons Review reconciliation of all inter-company
existing accounts, obtains orders, and establishes new accounts by planning and organising daily work schedule current marketplace information on pricing, products, new products, delivery schedules, and merchandising techniques
existing accounts, obtains orders, and establishes new accounts by planning and organising daily work schedule current marketplace information on pricing, products, new products, delivery schedules, and merchandising techniques
inventory of sales support materials and coordinate new material creation as required. Coordinate proofreading
inventory of sales support materials and coordinate new material creation as required. Coordinate proofreading
resources are accurate and current while coordinating new material creation as needed
resources are accurate and current while coordinating new material creation as needed Communications coordination: