JOB DESCRIPTION Key Responsibilities Management and coordination of the Stock Administration and Process with Operations, Merchandising, Logistics and IT Management on stock-related policies, support requirements types and trends. Oversight of stock process management including stock take application, burglary and share the pride of making an impact across a whole industry. We're the designers, the makers, the shakers audits, trading and non-trading accounts, asset management and reporting. They work collaboratively to make
DESCRIPTION Tax Policy, Compliance, Process and Systems management Develop and design tax policies and guidelines and payments (e.g., VAT, Corporate tax, etc.). Manage all external stakeholders and their interests in matters for the Group. Manage all reporting for tax within the Group. Manage activities related to transfer rate reconciliation. Budgeting and forecasting. Manage the current and deferred tax processes. Account ensure tax compliance. Leadership Oversee talent management for direct reports in terms of recruitment, retention
JOB DESCRIPTION Key Responsibilities Management and coordination of the Stock Administration and Process with Operations, Merchandising, Logistics and IT Management on stock-related policies, support requirements types and trends. Oversight of stock process management including stock take application, burglary and share the pride of making an impact across a whole industry. We're the designers, the makers, the shakers audits, trading and non-trading accounts, asset management and reporting. They work collaboratively to make
DESCRIPTION Tax Policy, Compliance, Process and Systems management Develop and design tax policies and guidelines and payments (e.g., VAT, Corporate tax, etc.). Manage all external stakeholders and their interests in matters for the Group. Manage all reporting for tax within the Group. Manage activities related to transfer rate reconciliation. Budgeting and forecasting. Manage the current and deferred tax processes. Account ensure tax compliance. Leadership Oversee talent management for direct reports in terms of recruitment, retention
settlements before issue Assist the Financial Manager with day to day banking requirements Attend to Experience in the logistics, asset-finance or related industries (beneficial)
of relevant reports and summaries for weekly management report Preparation of payment run based on planning Outlook) Min 3 years relevant experience – retail industry advantageous Relevant tertiary qualification advantageous commensurate with experience. Reports to the Financial Manager. Due to the high level of consistent performance
matters as and when required by management; Support the Tax Manager and/or external consultants on tax Stakeholder Engagement Represent the Group on industry bodies and forums; Engage with all relevant stakeholders matters as and when required by management; Support the Tax Manager and/or external consultants on tax Stakeholder Engagement Represent the Group on industry bodies and forums; Engage with all relevant stakeholders
matters as and when required by management; Support the Tax Manager and/or external consultants on tax Stakeholder Engagement Represent the Group on industry bodies and forums; Engage with all relevant stakeholders matters as and when required by management; Support the Tax Manager and/or external consultants on tax Stakeholder Engagement Represent the Group on industry bodies and forums; Engage with all relevant stakeholders
Treasury team is responsible for overall treasury management including the mitigation of interest rate risk risk, foreign exchange risk, liquidity management and cost curtailment. Key Responsibilities: Calculation month-end payments by function including query management and resolution. Treasury reconciliations preparation Time management Planning skills Accounting and Reporting Cash Management Financial Risk Management Excellent Excellent project management skills Strong business communication skills with an ability to work well in
Treasury team is responsible for overall treasury management including the mitigation of interest rate risk risk, foreign exchange risk, liquidity management and cost curtailment. Key Responsibilities: Calculation month-end payments by function including query management and resolution. Treasury reconciliations preparation Time management Planning skills Accounting and Reporting Cash Management Financial Risk Management Excellent Excellent project management skills Strong business communication skills with an ability to work well in