the online merchant team responsible for uploading all content, product and promotions to the online store optimising the ecommerce marketing plan and leverage all channels, to drive new customers, drive new revenue emphasise up-selling opportunities online Ensuring all online marketing initiatives are trackable and ladder up to overall KPIs and revenue targets Ensuring all online offers and campaigns are executed within allocated reporting on all online performance, campaigns and promotions Being data obsessed by leveraging all data sources
the online merchant team responsible for uploading all content, product and promotions to the online store optimising the ecommerce marketing plan and leverage all channels, to drive new customers, drive new revenue emphasise up-selling opportunities online Ensuring all online marketing initiatives are trackable and ladder up to overall KPIs and revenue targets Ensuring all online offers and campaigns are executed within allocated reporting on all online performance, campaigns and promotions Being data obsessed by leveraging all data sources
ledger activities for all divisions. Process journals and journal adjustments for all divisions. Perform complete reconciliations for all divisions. Ensure accurate recordkeeping for all accounting activities for accounting and statutory reporting team to ensure all month end and year end processes are accurate and monthly finance activities. Where required, escalate all requests and queries accurately and timeously to scenes. Are you with us? ABOUT THE TEAM Our contact centres play a vital role in the success of our business
ledger activities for all divisions. Process journals and journal adjustments for all divisions. Perform complete reconciliations for all divisions. Ensure accurate recordkeeping for all accounting activities for accounting and statutory reporting team to ensure all month end and year end processes are accurate and monthly finance activities. Where required, escalate all requests and queries accurately and timeously to scenes. Are you with us? ABOUT THE TEAM Our contact centres play a vital role in the success of our business
consistency and compliancy across all relevant stakeholders and across all relevant geographies e.g Local; from applicable sources and reach consensus with all the internal stakeholders and relevant Trading Divisions expectations and address any concerns or challenges, with all key stakeholders. Facilitate monthly Shipping conformance with the changing needs of the business. Ensure all key stakeholders are aware of the Supply Chain requirements key performance indicators related to shipping and all supply chain relevant activities. Maintain accurate
consistency and compliancy across all relevant stakeholders and across all relevant geographies e.g Local; from applicable sources and reach consensus with all the internal stakeholders and relevant Trading Divisions expectations and address any concerns or challenges, with all key stakeholders. Facilitate monthly Shipping conformance with the changing needs of the business. Ensure all key stakeholders are aware of the Supply Chain requirements key performance indicators related to shipping and all supply chain relevant activities. Maintain accurate
ledger activities for all divisions. • Process journals and journal adjustments for all divisions. • Perform complete reconciliations for all divisions. • Ensure accurate recordkeeping for all accounting activities for accounting and statutory reporting team to ensure all month end and year end processes are accurate and monthly finance activities. • Where required, escalate all requests and queries accurately and timeously to ledger activities for all divisions. • Process journals and journal adjustments for all divisions. • Perform
ledger activities for all divisions. • Process journals and journal adjustments for all divisions. • Perform complete reconciliations for all divisions. • Ensure accurate recordkeeping for all accounting activities for accounting and statutory reporting team to ensure all month end and year end processes are accurate and monthly finance activities. • Where required, escalate all requests and queries accurately and timeously to ledger activities for all divisions. • Process journals and journal adjustments for all divisions. • Perform
Key Responsibilities: Administratively supporting all aspects of the buying process. Ensuring timeous placement and audit of samples. All preparations prior to presentations. Completing all administrative documentation suppliers to gather all information required to load product. Processing of all amendments and communicating Key Responsibilities: Administratively supporting all aspects of the buying process. Ensuring timeous placement and audit of samples. All preparations prior to presentations. Completing all administrative documentation
Key Responsibilities: Administratively supporting all aspects of the buying process. Ensuring timeous placement and audit of samples. All preparations prior to presentations. Completing all administrative documentation suppliers to gather all information required to load product. Processing of all amendments and communicating Key Responsibilities: Administratively supporting all aspects of the buying process. Ensuring timeous placement and audit of samples. All preparations prior to presentations. Completing all administrative documentation