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
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
ledgers, which are used to produce the balance sheet and income statement. This position will be responsible Prepare of general journal entries. Prepare balance sheet reconciliations. Control the smallware's (Bookout Obtaining all paperwork from stores, ensuring cash-up sheets are scanned and signed off daily. Import sales weekly / monthly reporting reconciled to GL / target sheets. Perform month-end reconciliation on the debtors
postal routines Petty Cash /invoicing and balance sheet New Accounts set up for facilities suppliers The
Responsibilities: • Income statements • Balance sheets • VAT returns • Reconciliations of accounts • Raising
and canvassing for new business Completing call sheets Answer customer queries Quote prices Maintain customer
divisions within the business Preparation of Balance Sheet file Processing Journal Entries Various other administrative
ledgers, which are used to produce the balance sheet and income statement. Minimum requirements: Senior reimbursements (Stores). Perform morning cash control sheet for your market. Transfer funds between accounts
daily beetle counts Prepare and print drivers' trip sheets Control damaged and expired stock Manage warehouse
daily beetle counts Prepare and print drivers' trip sheets Control damaged and expired stock Manage warehouse