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Store Finance Manager
Job in
Rustenburg, 0202, South Africa
Listed on 2026-01-02
Listing for:
Staff Solutions
Full Time
position Listed on 2026-01-02
Job specializations:
-
Management
Financial Manager -
Finance & Banking
Financial Manager, Accounting Manager
Job Description & How to Apply Below
Key Responsibilities Financial Control & Reporting
- Daily, weekly, and monthly financial reporting to Head Office.
- Review payroll reports weekly before submission.
- Ensure compliance with all Head Office deadlines.
- Provide monthly performance updates to the executive committee.
- Daily reconciliation between Arch and Pastel.
- Conduct supplier reconciliations and manage direct supplier payments in consultation with Head Office.
- Maintain positive supplier relationships and manage COD payments.
- Control creditor claims and documentation flow between departments.
- Audit transactions and reconcile supplier statements against Pastel Evolution.
- Monitor supplier balances and ensure working capital is optimized.
- Track and manage debtors, ensuring timely collections.
- Ensure all debtor accounts are properly documented and maintained.
- Enforce store compliance with internal policies and procedures.
- Collaborate with internal and external auditors.
- Safeguard store assets, including stock and cash.
- Oversee GRV (Goods Received Voucher) verification and accuracy.
- Monitor cashier operations, perform float checks, and ensure daily reporting on variances.
- Manage system user permissions and maintain control of store vouchers and coins.
- Lead and motivate finance and administrative teams.
- Manage staff schedules, overtime, leave planning, and timekeeping.
- Ensure compliance with HR policies and the Basic Conditions of Employment Act.
- Handle staff grievances and manage within Limits of Authority.
- Regularly review team performance and provide training and development support.
- Ensure all daily cash handling procedures are followed (cash drops, pick‑ups, payouts, etc.).
- Review and sign off on daily cash‑up reports.
- Reconcile cash deposits, card transactions, and petty cash.
- Authorize payments and ensure proper expense control.
- Manage income statement accuracy, rebate tracking, and budget adherence.
- Monitor debtor aging reports and enforce agreed payment terms.
- Ensure full compliance with store systems and financial procedures.
- Review all overrides and refunds daily.
- Prepare and assist in monthly and quarterly stock takes.
- Ensure stock takes are aligned with CPA and budgeted costs.
- Investigate variances and work with operations on corrective actions.
- Take on additional duties as assigned by the Store Manager or Head Office.
- Participate in ongoing performance reviews and store audits.
- Be available to temporarily fulfill other roles within the business as needed.
- Strong Financial Management and Accounting Knowledge
- Strategic Thinking and Analytical Ability
- Effective Leadership and Team Development Skills
- Excellent Communication and Interpersonal Skills
- High Attention to Detail and Accountability
- Risk and Compliance Awareness
- Bachelor’s degree in Accounting, Finance, or a related field.
- 3–5 years’ experience in a financial management role (retail experience preferred).
- Strong understanding of financial reporting, budgeting, and cost control.
- Solid knowledge of internal controls, cash handling, and compliance.
- Proficiency in accounting systems such as SAP and / or Pastel.
- Advanced MS Excel skills.
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