& DUTIES : Answering the telephone, handling queries and capturing these on the computer; Report daily outstanding PODs Monitor, answer and resolve email queries Assist with quotations Following up on outstanding delivery has failed. Dealing with day-to-day customer queries First line answering the telephone to ensure a
& DUTIES : Answering the telephone, handling queries and capturing these on the computer; Report daily outstanding PODs Monitor, answer and resolve email queries Assist with quotations Following up on outstanding delivery has failed. Dealing with day-to-day customer queries First line answering the telephone to ensure a
and must have the ability to deal with customer queries / complaints. Must be skilled in cash up reconciliation
advice to all customers Ensure all out of stock queries from customers are followed up with the customer service out of stock list Ensure all customer stock queries are dealt with and resolved Ensure the correct
to, ensuring that all sales orders and client queries, follow-ups and invoices are done on time and accurately Address all client communications as required (queries, delivery arrangements & enquiries and quotations)
to, ensuring that all sales orders and client queries, follow-ups and invoices are done on time and accurately Address all client communications as required (queries, delivery arrangements & enquiries and quotations)
to, ensuring that all sales orders and client queries, follow-ups and invoices are done on time and accurately
Address all client communications as required (queries, delivery arrangements & enquiries and quo
payments of accounts and the resolution of account queries. This function includes but is not limited to: discrepancies identified and resolution of account queries. 1.1.6 Prepare payments for COD- and monthly creditor support. 1.2.2 Performing financial analysis work and query resolution tasks as requested by the accountant time. 1.2.3 General financial administration, queries and processing as may be required or requested
and must have the ability to deal with customer queries / complaints. Must be skilled in cash up reconciliation