Tile and Carpet Centre
DUE : 13 JAN 2023
DUTIES
Checking branch invoices and expense updates on the Banking Summary and Expenditure schedule.
Stock Valuations and Stock Movements and explain where necessary.
Filing Cash Payment Vouchers
Cash management and stock-taking including Banking and checking Bin Cards.
Monitoring Utility Bills and other service Payments.
Preparing petty cash reports and reconciliations.
Costing of Truck received directly and liaises with the Group Stores Controller and conduct stock takes.
Ensuring that all invoices are processed in respective systems.
Input GRVs with the information obtained from the Group Stock Controller in the system.
Analyse branch margins in liaison with the Group Stock Controller.
Cross checks gross profit margins and mark ups on the daily sales reports.
Ensure all stock transfers from the warehouse to other branches have been recorded
Stock management including receiving, barcode creation, spot-checks and reporting variances.
REQUIREMENTS
A degree in Accounting or equivalent,
3 years experience in a retail environment ,
Experience with tiles and hardware an added advantage
TO APPLY
Interested candidates should send CVS to hr@tileandcarpetcentre.co.zw and cc: mhlangamems@gmail.com