Assist Sales Admin on credit note processing, A&P claims and follow the SOP accordingly.
Review customer‑submitted Good Return Notes (GRN), verifying supporting details such as photos, quantities, and pricing.
Print and cross‑check customer invoices to ensure pricing accuracy.
Prepare and issue Sales Return Approval Notes (SRAN).
Coordinate with Finance to ensure final CN issuance and proper distribution to customers or sales personnel, with copies filed for records.
Verify supporting documents for A&P claims, including outlet display photos.
Record A&P claims in the Sales Report file and Dropbox, update the Sales Record Book accordingly, and digitize and archive all claim documents in the designated Customer Folder.
Work with Finance for the A&P submission and follow up the status.
Prepare and send monthly SOA to customers to ensure timely account reconciliation.
Update daily sales invoices into the Sales Report File for tracking and analysis.
Execute any ad‑hoc tasks from superior / HOD.
Interested candidates please submit your application through Jobstore.