aligned Approve damage claims via the relevant sales account manager Match good stock claims with SGX Confirm adhoc promotion claims with the relevant sales account manager Complete credit note request forms forms for processing upon claim approval Upload SGX sales and credit notes CV file daily Allocate remittances
aligned Approve damage claims via the relevant sales account manager Match good stock claims with SGX Confirm adhoc promotion claims with the relevant sales account manager Complete credit note request forms forms for processing upon claim approval Upload SGX sales and credit notes CV file daily Allocate remittances
aligned Approve damage claims via the relevant sales account manager Match good stock claims with SGX Confirm ad-hoc promotion claims with the relevant sales account manager Complete credit note request forms forms for processing upon claim approval Upload SGX sales and credit notes CV file daily Allocate remittances
aligned Approve damage claims via the relevant sales account manager Match good stock claims with SGX Confirm ad-hoc promotion claims with the relevant sales account manager Complete credit note request forms forms for processing upon claim approval Upload SGX sales and credit notes CV file daily Allocate remittances
Property-industry experience is highly advantageous Provide support for all financial activities, including budgeting are maintained and reconciled monthly Provide support for banking and month-end payment Ensuring compliance
Property-industry experience is highly advantageous Provide support for all financial activities, including budgeting are maintained and reconciled monthly Provide support for banking and month-end payment Ensuring compliance
Property-industry experience is highly advantageous Provide support for all financial activities, including budgeting are maintained and reconciled monthly Provide support for banking and month-end payment Ensuring compliance
Property-industry experience is highly advantageous Provide support for all financial activities, including budgeting are maintained and reconciled monthly Provide support for banking and month-end payment Ensuring compliance
needed Audit Preparation: Provide guidelines and support for annual audit stock count preparations, including test counts by finance staff Management Accounts Support: Assist in the preparation and review of draft management accounts and forecast data analysis. Support management accounting in producing accurate management
needed Audit Preparation: Provide guidelines and support for annual audit stock count preparations, including test counts by finance staff Management Accounts Support: Assist in the preparation and review of draft management accounts and forecast data analysis. Support management accounting in producing accurate management