skills • The ability to work independently and as part of a team
Financial Accountant FMCG Retail
Cape Town
International FMCG Retailer with HO in Cape Town efficiently by ensuring reconciliations for the Retail business sector is managed on SAP and costs allocated (SARS, auditors, consultants).Manage Retail Accounts MailboxEnsure all Petty cash and credit Trade Marketing Tracker.Ensure daily MICROS in store cash-up and end of day are done timeously and accurately MICROS actual banking to HSBC.Monthly preparation of Retail Reconciliations
Our national client has vacancies in the following areas for Senior Internal Sales Associates: George, Western Cape. Must have at least 4 years expereince in the hardware sector and have managed/supervised staff. Please email Andrea Galloway: andreagsrgfp.co.za Correspondence will only be conducted
detail-oriented financial professional with a passion for the Retail Sector? Join our dynamic team as a Financial Accountant in a Senior Accounting Role. Experience in the retail industry would be an advantage. Knowledge Required weekly deadlines and work efficiently, on own or as part of a team, in a highly pressurized environment. efficiencies. Ensuring deadlines are met at all times . Financial Audits Annual External Audits (Financial performance of all Eskort Retail stores to Board of Directors and Retail Store Managers. Return on investment
Senior Accounting Role.
Cape Town
Well-established retail client in Pinelands Cape Town has an opportunity trial balance. Recons of sales and expenses of retail stores in South Africa. Have extensive experience in 3-5 years
Recons experience essentials – Retail experience a bonus
Full Bookkeeping processing allocate cashbook transactions for retail
Assisting retail stores with bank related enquires i.e. upgrades and settlement reports
Reconcile sales store control accounts to credit card, cash and EFTs receipts
& Company Description:
The retail company is recognized for its dedication to local
high-quality products at competitive prices. Many of its stores are independently owned and operated by local entrepreneurs
businesses. The company values being an essential part of the communities it serves, emphasizing local
accounts
Settlements Lead is the daily reconciliation of retail store receipts and maintenance of the cash and bank includes reconciliation and accounting for all retail store receipts (cash deposits, credit card and other) l>
Settlements Lead is the daily reconciliation of retail store receipts and maintenance of the cash and bank includes reconciliation and accounting for all retail store receipts (cash deposits, credit card and other) Responsibilities Oversight of the daily reconciliation of store receipts Update daily bank balances for all cash Investigating and resolving all exceptions related to stores cash and card banking Investigating and resolving handling chargebacks from the bank Liaising with the stores and the operations divisions to resolve exceptions
Settlements Lead is the daily reconciliation of retail store receipts and maintenance of the cash and bank includes reconciliation and accounting for all retail store receipts (cash deposits, credit card and other) Responsibilities Oversight of the daily reconciliation of store receipts Update daily bank balances for all cash Investigating and resolving all exceptions related to stores cash and card banking Investigating and resolving handling chargebacks from the bank Liaising with the stores and the operations divisions to resolve exceptions