suppliers to ensure the quality of stock purchases. Responsible for accurate stock reconciliation of all storage cycle counts. Inform logistics manager about all stock situations/issues for necessary actions to be taken Inventory/Warehouse Management environment working in Inventory Control (Preferred). Ability to perform (root cause) analyses
Reconciliation and clearing of deposit control / receipting control accounts (together with debtor's administrators) • Preparation of a full VAT reconciliation: • Control Account Reconciliation • VAT IT14SD reconciliations Ledger and Age Analysis) • All stock accounts reconciliations • Stock provision schedule • Payroll balance
Reconciliation and clearing of deposit control / receipting control accounts (together with debtor's administrators) • Preparation of a full VAT reconciliation: • Control Account Reconciliation • VAT IT14SD reconciliations Ledger and Age Analysis) • All stock accounts reconciliations • Stock provision schedule • Payroll balance
Reconciliation and clearing of deposit control / receipting control accounts (together with debtor's administrators) deadline Preparation of a full VAT reconciliation: Control Account Reconciliation VAT IT14SD reconciliations (General Ledger and Age Analysis) All stock accounts reconciliations Stock provision schedule Payroll balance
Reconciliation and clearing of deposit control / receipting control accounts (together with debtor's administrators) deadline Preparation of a full VAT reconciliation: Control Account Reconciliation VAT IT14SD reconciliations (General Ledger and Age Analysis) All stock accounts reconciliations Stock provision schedule Payroll balance
customers Processing credit notes for customers (stock & services) Answering/assisting with client
Inventory Goods Returned Dealt with invoicing issues Stock holdings Highly skilled in SYSPRO is also essential
Inventory Goods Returned Dealt with invoicing issues Stock holdings Highly skilled in SYSPRO is also essential
Checking the diaries and appointments for quality control prior to Advisor/s meeting with the client; In
Checking the diaries and appointments for quality control prior to Advisor/s meeting with the client; In