Accurate and timely sales interface and reconciliation of stores daily closures (DOS, shops-in-shops, e-commerce). Preparing third party B2B invoices i.e monthly invoicing of shops-in-shops sales. Monitoring of intercompany interface and intercompany monthly reconciliations. Month end journal entries and effective completion of tasks on Blackline Bank reconciliations - All transactions related to Accounts Receivables. Maintenance of the accounts receivable documentation archive. Effective communication with store network to clarify sales incidents. Support for sales and other relevant information for auditors. Ensuring stores comply with and respect Group internal policies and procedures.