designated route as per route schedule and trip sheet. Ensure customer adherence to the POD procedure that are allocated to your trip sheet and receive POD. Sign trip sheets in at the POD clerk and ensure received back the following day. Outstanding trip sheets will be your responsibility and you will be held
divisions within the business Preparation of Balance Sheet file Processing Journal Entries Various other administrative
budgets and forecasts and to ensure all balance sheet items are reconciled Accurate costing of products
payment of creditors Reconciliation of Balance Sheet and subsidiary accounts Reconciliation of intercompany