retailer has a vacancy at their Head Office for a Group Financial Analyst with retail experience within directly to the Group Director Commercial Analysis and Planning. The role of the Group Financial Analyst with the analysis of the financial results of the group, which includes but is not limited to: Help in reviewing financial results, forecasts and budget (P&L, Cash Flow, KPI's) including deviation analysis Provide in developing action plans Implement and control group policies and procedures Participate in projects
West is looking for a Group Financial Analyst to join their team The role of the Group Financial Analyst analysis of the financial results of the group The role of the Group Financial Analyst is to assist with the the analysis of the financial results of the group, which includes but is not limited to: Job Specifications financial results, forecasts and budget (P&L, Cash Flow, KPI's) including deviation analysis Provide in developing action plans Implement and control group policies and procedures Participate in projects
currently looking to appoint a performance orientated Group Financial Analyst to join their team. We are looking results, budgets and forecasts. Profit and Loss, Cash flow and KPI management. Budgeting and forecasting retail stores. Identify, implement and control group policies and procedures. Continuous improvement
Statements Reconciling Cash customer Account on Pastel Daily Reconciliation of Cash Customer Account Weekly Weekly excel reconciliation of cash customer account General Administration Consultant: Gameedah Stemmet
based in Somerset West. The candidate will manage a group of young aspiring accountants and should have the monthly budgets of the team Management of monthly cash targets of the team Formal Diploma or Degree in
transactions which include operating POS, cash, and card transactions. Weekly cash up summary for restaurant, wine management tasks including banking and handling the petty cash. Update sites such as Dining Out and Eat Out with
transactions which include operating POS, cash, and card transactions. Weekly cash up summary for restaurant, wine management tasks including banking and handling the petty cash. Update sites such as Dining Out and Eat Out with
transactions which include operating POS, cash, and card transactions. Weekly cash up summary for restaurant, wine management tasks including banking and handling the petty cash. Update sites such as Dining Out and Eat Out with
FINANCE Driving Governance at site Manage the weekly cash-up forecasting models against plan and driving continuous meets the standards as outlined per standardised Group operating procedures and work instructions Driving
differences. Sending out customer statements. Petty Cash - capture expenses and receipts, process bank recon when needed. Responsible and ownership of the petty cash box. Inventory: Checking stock-levels periodically