sector. Description Compiling reconciliations of control accounts Processing month end journals and invoices Assisting with queries and finance related issues Petty Cash Spot check creditors reconciliation Profile Relevant
sector. Description Compiling reconciliations of control accounts Processing month end journals and invoices Assisting with queries and finance related issues Petty Cash Spot check creditors reconciliation Profile Relevant
(Milling) Duties Compiling reconciliations of control accounts Processing month end journals and invoices Assisting with queries and finance related issues Petty Cash Spot check creditors reconciliation Skills Required
(Milling) Duties Compiling reconciliations of control accounts Processing month end journals and invoices Assisting with queries and finance related issues Petty Cash Spot check creditors reconciliation Skills Required
Preparation of forecasts Month closing and processing Bank payments and approvals In charge of insurance claims Weekly monitoring of gross profit % Administration/control of PSS transactions in line with the approved policy
Preparation of forecasts Month closing and processing Bank payments and approvals In charge of insurance claims Weekly monitoring of gross profit % Administration/control of PSS transactions in line with the approved policy
manage stock control to ensure constant availability of stock to clients. Description Stack control Stock orders
manage stock control to ensure constant availability of stock to clients. Description Stack control Stock orders
Effectively market stock to customers, manage stock control to ensure constant availability of stock to clients feed sales and customer base Description Stock control to ensure that stock rotations, margins and targets
Effectively market stock to customers, manage stock control to ensure constant availability of stock to clients feed sales and customer base Description Stock control to ensure that stock rotations, margins and targets