support and strategic financial direction for the store, operations, marketing and other business functions trend performance and identify trading gaps from a store and a brand perspective Partner with the marketing fixed initiatives and elaborate recommendations to address brand profitability issues Control Provide analysis Region profitability analysis with Marketing and Stores to identify drivers of profit improvement and guide
remittance advices; Update and align Store Master data with store trading status and utility information; divisions; Process all monthly payments for all store utility contracts and accounts across all trading any outstanding utility arrear accounts for TFG stores - do the initial investigation and advise on any remittance advices; Update and align Store Master data with store trading status and utility information; closing of municipal accounts payments for closed stores; Process all SBR payments and accruals; Perform
remittance advices; Update and align Store Master data with store trading status and utility information; divisions; Process all monthly payments for all store utility contracts and accounts across all trading any outstanding utility arrear accounts for TFG stores - do the initial investigation and advise on any remittance advices; Update and align Store Master data with store trading status and utility information; closing of municipal accounts payments for closed stores; Process all SBR payments and accruals; Perform
all exceptions related to stores cash banking (SA and cross border stores) Investigating and resolving resolving all exceptions related to stores EFT banking (cross border stores) Investigating and resolving all the banks to resolve any queries Liaising with stores and the operations divisions Process correcting all exceptions related to stores cash banking (SA and cross border stores) Investigating and resolving resolving all exceptions related to stores EFT banking (cross border stores) Investigating and resolving all
all exceptions related to stores cash banking (SA and cross border stores) Investigating and resolving resolving all exceptions related to stores EFT banking (cross border stores) Investigating and resolving all the banks to resolve any queries Liaising with stores and the operations divisions Process correcting all exceptions related to stores cash banking (SA and cross border stores) Investigating and resolving resolving all exceptions related to stores EFT banking (cross border stores) Investigating and resolving all
function as well as all tax issues for over 10 stores whilst managing a team.
accounts and resolving queries and communicating with stores and the bank. Matric plus solid work experience your application has been unsuccessful. We will store your details on our database for any other suitable
for all KZN retail group stores. KEY PERFORMANCE AREAS Weekly collation of Store reporting. Review of Creditor prepared timeously. Management and completion of store control accounts. Review Creditors & Debtors maintenance of adequate control systems both at DC & Store. Ad hoc tasks and duties. Matric. Degree or Diploma
and performance indicators to identify trends, address issues, and implement process improvements to enhance
and enhance the overall client experience.
-Address escalated client complaints or inquiries in a timely
Collaborate with the Compliance and Legal department to address regulatory inquiries, audits, or investigations
and performance indicators to identify trends, address issues, and implement process improvements to enhance enhance the overall client experience