statements and remittance advices received, including stores Complete New account check list for all new accounts circles Monthly reconciliations performed between store age analysis and cash received and processed Ensuring master data. Stores petty cash reconciliations performed by 6th day of each month Stores stock count variances variances calculated and processed on monthly basis Stores daily sales updates, assistance with promotional
statements and remittance advices received, including stores Complete New account check list for all new accounts circles Monthly reconciliations performed between store age analysis and cash received and processed Ensuring master data. Stores petty cash reconciliations performed by 6th day of each month Stores stock count variances variances calculated and processed on monthly basis Stores daily sales updates, assistance with promotional