Daily up-date on products delivery.
Daily reconciliation of surface tanks ledger.
Maintains various ledgers, journals, registers and other fiscal records.
Allocates revenue to appropriate functions, classifies expenditures and post to various accounts as required.
Monthly reconciliation of bank statement with cash book.
Reconciliation of stations meter pumps reading.
Daily inspection and tracking of trucks to know their location
Preparation of staff entitlements. E.g. payroll
Prepare monthly profit and loss analysis
Other duty as may be assigned