Accounting Degree Articles advantageous Contact LEE-ANN SASMAN on 021 418 1750 , quoting the Ref: CTF018690
communication skills
Settlements Lead is the daily reconciliation of retail store receipts and maintenance of the cash and bank function includes reconciliation and accounting for all retail store receipts (cash deposits, credit card and other) l>
have the ability to work within a team as a cooperative member who contributes, and most certainly the
have the ability to work within a team as a cooperative member who contributes, and most certainly the
adjustments across multiple pricing tiers, platforms, and stores. You will be self-motivated, tenacious, and possess team Responsibilities: Manage and maintain all store POS back-end system Monitor performance indicators marketing programs, menu pricing, promotions, new store rollouts as well as new projects Manage the annual
adjustments across multiple pricing tiers, platforms, and stores. You will be self-motivated, tenacious, and possess s:
creditors team, while working closely with the GRV, stores and accounts departments to ensure an efficient support to ensure clean reconciliations Liaising with stores and ensuring processes and internal controls are
sales, service) and financial performance of the store. Leading all internal processes to ensure continuous
sales, service) and financial performance of the store. Leading all internal processes to ensure continuous