ensure the effective and safe management of stock and cash, minimising shrinkage and ensuring a high standard effectively manage stock by enforcing security measures, cash controls, returns policies and all other related to minimising stock losses and maximising security procedures at the point of sale. To deliver superior
ensure the effective and safe management of stock and cash, minimising shrinkage and ensuring a high standard effectively manage stock by enforcing security measures, cash controls, returns policies and all other related to minimising stock losses and maximising security procedures at the point of sale. To deliver superior
Responsible for F3 activities to assist in the transition from HFM to OneStream reporting. Participate compilation of the budget & Forecast balance sheet and cash flow requirements and capture budgets and forecasts
control procedures, generating sales, effective cash management and strict adherence to Company processes other reasonable work requests from Management. Secure end of day and split reports, analyse all variances
teams in order to find the best balance between security, operation stability and compliance for the onboarding writing Minimum of 3-5 years of experience in IT security, system administration, or related fields. Demonstrated (CyberArk, BeyondTrust, or Thycotic) Ability to assess security risks and recommend appropriate mitigation strategies Information Systems Security Professional (CISSP), Certified Information Security Manager (CISM), or vendor-specific on the latest developments in PAM technologies, security trends, and best practices through self-study
financial information. Monitoring and interpreting cash-flows and predicting future trends. Analysing change
meet business needs Analyzing and determining security threats Providing advice on technology best practices
ADVANTAGEOUS SKILLS Data and API Mining Knowledge on Security best practices Advanced monitoring of systems