informed about shipments and provide general assistance to Controllers. Ensure client requirements are branch. Assist with claims management and monthly reporting. Manage P&L responsibility and assist with over and above inflation. Report to management and assist with various queries. Ensure accurate shipment
informed about shipments and provide general assistance to Controllers. Ensure client requirements are branch. Assist with claims management and monthly reporting. Manage P&L responsibility and assist with over and above inflation. Report to management and assist with various queries. Ensure accurate shipment
creditors disbursements and process debtors invoices. Assist the finance team with generating or providing relative
creditors disbursements and process debtors invoices. Assist the finance team with generating or providing relative
supporting documents available for audit purposes. Assist and support the team and superior where necessary
supporting documents available for audit purposes. Assist and support the team and superior where necessary
for creating Compliance Tools for the Business. Assist with the set up for Non-Compliance Reporting Checks