1. the delivery and receipt of the D/O for the customer, on time.2. coordinate and follow-up on the import documents to the relevant authorities.3. review the document for verification, including the correction of the D/O. 4 to make the invoice and the customer.5 check the delivery status on any step.------------------------------------------------------------------------ 1. to make expense in D/O in the Exchange computer system (PROGRAM L 2000). 2 check to cash checks or inquiries that l will get D/O. 3. make a batch of the D/O documents, Exchange with a customer or visitor contact.5 D/O documents and sent off to the accountant.6 rebate tracking in the section, the company shall pay to the Department prior to the reserve account.
การแปล กรุณารอสักครู่..