Accountant trainee
Responsibilities:
• Monitoring, Checking, and verifying credit invoices
• Monitoring of salesman cash remittances and shortages
• Validating daily salesman van carry-over for discrepancies
• Daily audit of stores inventories,
reconciliation & spoilages
• Assist with monthly accounting closing
• Market TC balance confirmation audit
• Validating and consolidating cash rentals and booking the same in the system by salesman and customers
• Monthend route reconciliation and SM balances
• Overseeing daily operations and closing.
- Liaised with internal teams to resolve payment queries.