trade account applications, Letters of Demand, Credit Insurance claims, etc. Assist with the updating electronic and hard copy systems as required. Vetting and completion of Trade Account Applications. Liaising information and supporting documents. Collating and vetting documents received from customers. Attend to daily Assist with credit limit applications as well as follow-up and liaising with the Credit Insurance companies with maintaining customer information with the Credit Insurance companies in relation to changes of insured
trade account applications, Letters of Demand, Credit Insurance claims, etc. Assist with the updating electronic and hard copy systems as required. Vetting and completion of Trade Account Applications. Liaising information and supporting documents. Collating and vetting documents received from customers. Attend to daily Assist with credit limit applications as well as follow-up and liaising with the Credit Insurance companies with maintaining customer information with the Credit Insurance companies in relation to changes of insured
compliance
Drafting and preparation of correspondence to agents, clients, and the Registrar of Trade Marks. Corresponding attorney and/or authorisations of agent. Preparation of invoices (debit and credit notes). Invoicing/Billing
Drafting and preparation of correspondence to agents, clients, and the Registrar of Trade Marks. Corresponding attorney and/or authorisations of agent. Preparation of invoices (debit and credit notes). Invoicing/Billing
costing (and notation) of files
- Attending to credit Notes and dealing with account queries
- Requisition
payment of agents/service providers/etc
- Arranging for deposit of cheques (payments) into agents bank
telephonically and in person
- Liaising with clients/agents from time to time to set up consultations Secretary
and costing (and notation) of files Attending to credit Notes and dealing with account queries Requisition payment of agents/service providers/etc Arranging for deposit of cheques (payments) into agents' bank accounts telephonically and in person Liaising with clients/agents from time to time to set up consultations Arranging
and costing (and notation) of files Attending to credit Notes and dealing with account queries Requisition payment of agents/service providers/etc Arranging for deposit of cheques (payments) into agents' bank accounts telephonically and in person Liaising with clients/agents from time to time to set up consultations Arranging
compliance Draft, vet and negotiate a wide variety of commercial contracts, including credit applications
compliance Draft, vet and negotiate a wide variety of commercial contracts, including credit applications