*Maintain accurate daily reports related to stock movements, receipt and dispatches.
*Prepare and update Excel reports for inventory, GRN (Good Receivable Notes), and stock reconciliation.
*Assist monthly stock audits and reconciliation between physical and system stock.
*Ensure doents accuracy for all incoming and outgoing materials.
*Support finance and warehouse teams with daily data entry, verification and analysis.
*Assist with month-end and year-end closures.
*Ensure correct coding and approval routing of invoices.
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