term of each agreement
operating standards, store layout and planograms Ensure boxes are flattened after unpacking stock, and taken to
reconcile the payroll Prepare reconciliations for third party interfaces. Interface payroll into general ledger
leave records and documentation Assist with third-party payments and data coordination Conduct regular audits
year end. Liaison with auditors and other third parties & AD Hoc Management requirements, within the
leave records and documentation Assist with third-party payments and data coordination Conduct regular audits
intellectual property
Facilitating integration and Liaising with third party providers to architect and develop business solutions
into reporting system (Hyperion); Review all third-party payments and reconciliation to the general ledger
into reporting system (Hyperion); Review all third-party payments and reconciliation to the general ledger