documents, including invoices, credit notes, and rebates in adherence to company guidelines and contractual
aspects of gross margin (front margin, supplier rebates, stock adjustments etc.)
weekly/monthly basis, assist in monthly calculations for rebates and listing fees, restating foreign balances at monthly calculations, reporting and accounting for rebates and listing fees Restate foreign balances at month
aspects of gross margin (front margin, supplier rebates, stock adjustments etc.) Comparison of results
controls.
verification and confirmation of the monthly waste stream rebates for each management account in the region, by the
verification and confirmation of the monthly waste stream rebates for each management account in the region, by the