Completing account opening documentation for approval by the Bookkeeper
Commission for Sales Reps (by the 5th of every month)
Nedbank credit cards reconciliation (weekly & due by the 5th of every month)
MDs expense sheet (weekly & due by the 5th of every month)
Expense claims
Fuel report (by the 5th of every month)
Supplier grouping (weekly)
Costings
Purchasing and related reporting
Bank reconciliation
Capturing Petty Cash and reconciling same (by the 5th of every month)
Report discrepancies on the Dispatch Sheet
Debt Collection (weekly from the 7th of every month)
Liaise with debtors on all account queries (daily)
Weekly internal reporting on various Debtors Groups
Capture debtors receipts and settlement discounts (daily)
Capture e-commerce and related fees
E-mailing and uploading electronic debtors statements monthly / when required by the Customer
Timeous submission of tailor made Customer specific reports (monthly)
Credit Applications opening and screening of new account applications
Issue credit notes within 48 hours of receipt of claim / return
Credit Notes Report (daily)
Submit and prepare Supplier Claims based on credit notes issued to customers
Issuing of and managing Gift Vouchers (monthly)
Debtors Grouping (weekly)
Sales and related reports (weekly & monthly)
Bank Reconciliation
NEDBANK DISCOUNTING
VAT check before Download (weekly & monthly)
Nedbank Download (weekly)
Credit limit requests (weekly)
Customer Service
Ensure accounts receivable duties are completed in timeous manner and continuously (i.e., debt collections, issuing of credit notes, sending of monthly statements, new account applications, etc.).
All emails and enquiries are acknowledged / responded to.