Daily planning and coordination of deliveries. Daily tracking all deliveries and keeping clients advised of the status of their deliveries. Monitoring client schedule and delivering containers as indicated within the time frame allocated. Capturing and allocating all deliveries Ensuring that all del
prepare weekly & monthly statistics; Complete Accounts related documentation/queries & authorize
good administrative and stock reconciliation/ accountability/costing practices and/or standards. Issuing
good administrative and stock reconciliation/ accountability/costing practices and/or standards. Issuing
prepare weekly & monthly statistics; Complete Accounts related documentation/queries & authorize
were paid for the client Process docs and send to accounts. To ensure all documentations are properly filed
were paid for the client Process docs and send to accounts. To ensure all documentations are properly filed
referred to the section controller and the necessary accounting adjustments made. No cash payments to be accepted clients to pay in cash must be referred to the accounts department. To refer any illegible endorsements
referred to the section controller and the necessary accounting adjustments made. No cash payments to be accepted clients to pay in cash must be referred to the accounts department. To refer any illegible endorsements