Responsibilities:
partnership with Store Management Formulate financial operating plan within budget parameters, implement and sustain risk management to minimise risk and deliver operational excellence Manage payroll to optimise productivity and weekends, and participate in general store operational duties Matric Commercial degree or diploma (e financial experience in retail Sound administrative skills
Procurement and Vendor Management Facilities / Operational accounts Management Security / risk Management Reporting: excellent written and verbal communication skills
by the financial manager and Head of Business Operations by the required deadline. Assist with the collection Excellent technical financial accounting knowledge, skills and experience. Foreign exchange experience is communication skills, both written and verbal together with good reporting writing skills. Excellent administrative administrative and organizational skills. Excellent attention to detail with an analytical mindset. Ability and work in a pressurized and deadline driven operating environment.
Collaborate with cross-functional teams for seamless operations Implement innovative solutions for continuous deadline. Preferred Skills: Accounting software Sage Pastel Partner Computer skills Microsoft Office Internet Collaborate with cross-functional teams for seamless operations Implement innovative solutions for continuous being met Salary Scope: Negotiable and dependant on skill, qualifications and experience Closing date for
prioritise their time effectively. Key duties include: Operating the Pastel Accounting System to record all daily (or similar), as well as basic email and computer skills. A knowledge of VIP payroll would be an advantage
/>Duties and Responsibilities:
Are you a skilled finance professional looking for an exciting opportunity to contribute to a dynamic our team and play a key role in our financial operations. Preparation of monthly and quarterly financial financial control practices. Strong interpersonal skills with the ability to collaborate effectively. Meticulous
have sound knowledge of how financial markets operate.
Manager Hire Resolves client is seeking a highly skilled and experienced Foreign Treasury and Financial financial institution relationships, and treasury operations. Responsibilities: Managing foreign exchange Monitoring and managing liquidity to ensure the smooth operation of the treasury function Developing and implementing