physical trades, including system updates, reconciliation, and reporting of traded commodities.
Main
requirements.
are available as per customer requirements Reconciliation of stock Network and relationship building
are available as per customer requirements Reconciliation of stock Network and relationship building
vessel/local/contract inventory analysis and reconciliation.
tasks, including meticulous data entry and reconciliation.
tasks, including meticulous data entry and reconciliation.
including regular physical inventory counts, reconciliations, and cycle counting procedures. Supervise a
and control high risk stock Prepare the run reconciliation on a daily basis. Prepare, order and receive
the stock control team, ensuring financial reconciliation. Implement and actively participate in the
the stock control team, ensuring financial reconciliation. Implement and actively participate in the