Prepare month-end cashbook journals and accruals. Scan and save cashbook payments. General filing of finance cashbook and reallocation journals at month-end. Scan financial documentation as needed. Assist the Cashbook
Prepare month-end cashbook journals and accruals. Scan and save cashbook payments. General filing of finance cashbook and reallocation journals at month-end. Scan financial documentation as needed. Assist the Cashbook
Maintain clear and effective communication with Stock Clerk, Warehouse Controller and Warehouse Supervisor