All paper work in warehouse- Computer knowledgeTRANSPORTANTION SERVICEFORWARDINGSPM / O Level / SKM Level 1 / SKM Level 2 / SKM Level 3 or Equivalent
Handling accounting entries, and month end closing Prepare bank reconciliation and other account related matters Ensure proper filing and documentation of
Liaise with Traders on the sales/purchase contract allocations, shipping instruction and prepare documents according to the destination requirements. Liaise
All paper work in warehouse- Computer knowledgeTRANSPORTANTION SERVICEFORWARDINGSPM / O Level / SKM Level 1 / SKM Level 2 / SKM Level 3 or Equivalent
Handling accounting entries, and month end closing Prepare bank reconciliation and other account related matters Ensure proper filing and documentation of
Liaise with Traders on the sales/purchase contract allocations, shipping instruction and prepare documents according to the destination requirements. Liaise
All paper work in warehouse - Computer knowledge TRANSPORTANTION SERVICE FORWARDING SPM / O Level / SKM Level 1 / SKM Level 2 / SKM Level 3 or Equivalent
Handling accounting entries, and month end closing Prepare bank reconciliation and other account related matters Ensure proper filing and documentation of
Liaise with Traders on the sales/purchase contract allocations, shipping instruction and prepare documents according to the destination requirements. Liaise
All paper work in warehouse - Computer knowledge TRANSPORTANTION SERVICE FORWARDING SPM / O Level / SKM Level 1 / SKM Level 2 / SKM Level 3 or Equivalent
Handling accounting entries, and month end closing Prepare bank reconciliation and other account related matters Ensure proper filing and documentation of
Liaise with Traders on the sales/purchase contract allocations, shipping instruction and prepare documents according to the destination requirements. Liaise
All paper work in warehouse - Computer knowledge TRANSPORTANTION SERVICE FORWARDING SPM / O Level / SKM Level 1 / SKM Level 2 / SKM Level 3 or Equivalent
Liaise with Traders on the sales/purchase contract allocations, shipping instruction and prepare documents according to the destination requirements. Liaise
Handling accounting entries, and month end closing Prepare bank reconciliation and other account related matters Ensure proper filing and documentation of