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Store Finance Manager
Job in
Rustenburg, 0349, South Africa
Listed on 2026-06-14
Listing for:
Staff Solutions
Full Time
position Listed on 2026-06-14
Job specializations:
-
Finance & Banking
Financial Manager, Financial Compliance -
Management
Financial Manager
Job Description & How to Apply Below
Key Responsibilities Financial Control and Reporting
- Manage daily, weekly, and monthly financial reporting requirements to Head Office.
- Review payroll reports weekly before submission to Head Office.
- Ensure all financial deadlines are met in accordance with Head Office requirements.
- Prepare and present monthly store performance reports to the Executive Committee.
- Conduct daily transaction reviews and reconciliations between Arch and Pastel systems.
- Manage supplier accounts, reconciliations, and payment processes.
- Maintain strong supplier relationships and coordinate direct payments in consultation with Head Office.
- Audit and reconcile supplier statements against the Pastel Evolution accounting system.
- Monitor critical supplier balances and forecast store requirements to prevent supply interruptions.
- Support working capital optimization initiatives.
- Monitor debtor accounts and collections on a weekly basis.
- Ensure all debtor accounts are supported by accurate and complete documentation.
- Track arrears and implement appropriate collection measures.
- Review debtor age analyses regularly and ensure compliance with agreed payment terms.
- Assess and approve new customer credit applications within delegated authority limits.
- Ensure full compliance with company policies, procedures, and financial controls.
- Liaise with internal and external auditors alongside Group and Regional Finance Management.
- Safeguard company assets, including stock, cash, and fixed assets.
- Oversee GRV processes, ensuring accuracy, completeness, and compliance.
- Conduct daily reviews of outstanding GRVs and investigate discrepancies.
- Monitor cashier shortages and overages through regular reviews and reporting.
- Perform unannounced cash float spot checks and oversee cash office controls.
- Manage weekly cash office float balancing and trolley reporting.
- Review and maintain system user permissions and access controls.
- Ensure the safeguarding of Arch Coin and empty vouchers.
- Lead, develop, and support administration, front‑end control, and cash office teams.
- Clearly communicate performance expectations and operational standards.
- Motivate staff through effective leadership and leading by example.
- Manage leave planning, scheduling, staffing levels, and overtime within approved guidelines.
- Ensure compliance with labour legislation and company HR policies.
- Handle staff grievances and disciplinary matters appropriately.
- Drive goal‑setting initiatives and conduct regular performance reviews.
- Facilitate ongoing staff training and development.
- Monitor team productivity and review departmental structures regularly.
- Ensure strict adherence to all cash‑handling and cash‑security procedures.
- Manage cash flow requirements, including payments for stock and operational expenses.
- Review and approve daily cash‑up reports and reconciliations.
- Verify that cash deposits and card transactions reconcile accurately each day.
- Control operational expenses through appropriate authorization processes.
- Monitor store financial performance against budget and income statement targets.
- Ensure rebate income and other revenue streams are accurately accounted for.
- Authorize payments within approved limits of authority.
- Prepare and review monthly transport income statements to assess delivery profitability.
- Ensure compliance with all company systems, controls, and operational procedures.
- Review and authorize refunds, overrings, and related day‑end transactions.
- Lead and support stock take planning and execution.
- Ensure stock counts are completed in line with company standards and budget requirements.
- Partner with Operations to ensure accurate stock‑taking processes.
- Analyze stock variance reports and implement corrective actions where necessary.
- Conduct monthly stock reviews and address inventory‑related risks and hazards.
- Perform ongoing assessments of store administration staff and processes.
- Undertake additional duties as required by the Store Manager or Head Office.
- Provide operational support across the business as needed.
- Act in relief capacities when required to support business continuity.
- Financial Management
- Strategic Thinking
- Leadership and Team Development
- Analytical and Problem‑Solving Skills
- Communication and Collaboration
- Integrity and Accountability
- Risk and Compliance Awareness
Our client is looking for candidates who possess:
- A Bachelor's Degree in Accounting, Finance, or a related field.
- 3–5 years' experience in a financial management role, preferably within a retail environment.
- Strong knowledge of accounting principles, financial reporting, budgeting, and financial controls.
- Excellent analytical, organizational, and leadership abilities.
- Strong attention to detail with the ability to meet strict deadlines.
- Proficiency in accounting software such as SAP and/or Pastel.
- Advanced Microsoft Excel skills.
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