Review accuracy of various financial sources used in sales Maintain grower reconciliation and interest calculation consignment reconciliations upon completion of sales Communication with producers and pack houses Sundry
service excellence when interacting with clients, sales agents, and colleagues over the phone. Update the file with decisions made and inform the relevant sales agent accordingly. Ensure all daily underwriting management. Identify additional training needs for sales agents related to the Asset Life credit protection
processing Posting of supplier invoices Posting of sales invoices Reconciling bank accounts Report any processing
Collaborating with internal stakeholders such as sales teams, risk management, and senior management to
Collaborating with internal stakeholders such as sales teams, risk management, and senior management to
Collaborating with internal stakeholders such as sales teams, risk management, and senior management to
Collaborating with internal stakeholders such as sales teams, risk management, and senior management to