Carry out Bitumen accurate stock reconciliations, investigating and resolving issues where required. Reconciling the material mass balance on a monthly basis, ensuring all movements in and out are booked within month end deadlines and reporting on stock losses/gains at the Preston location. Co-ordinating all Preston month-end movements in SAP across sales/supply/stock/purchasing to ensure accurate financial reportingProvide cover, as needed, for customer order taking and order entry, as well as customer order and invoice queries.
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