accountant
STC
Total years of experience :9 years, 6 Months
1- Receipt of all financial amounts from the Manager of the period of special sales of his employees and work match between what was received and what is in the system
2-Make sure that the inventory received by the exhibition manager and the daily inventory and matching the actual inventory of the system
3-Match the balance of the exhibition with the accounts of the bank, whether cash or network and the settlement of the difference
4-Define the sales objective of employees in coordination with the office manager with average sales
1- Review the accounts of the stores and the monthly and weekly inventory of them
2-Receiving drainage and supply permits for warehouses from the trustees of the covenant and matching them with sales
3-Audit of bank accounts for deposit receipts
4-Make a match between actual sales and inventory and supply regional management with a whole idle inventory