Search Results: 9 vacancies
...(KPIs)
Recruit, train, coach and manage staff in line with company policies, ensuring fairness and consistency to all.
Manage all cash, wage costs, budgets and systems administration as required (TMS, SAP, etc)
Drive excellent Visual Merchandising in store to engage,...
...management.
The ideal candidate will have/be:
At least 1 year experience in a relevant position is desirable
Experience balancing cash/tills
Excellent communication skills
Good delegation skills
Highly driven with a strong work ethic
An understanding of how...
...KPIs).
Recruit, train, coach and manage staff in line with company policies, ensuring fairness and consistency to all.
Manage all cash, wage costs, budgets and systems administration as required (TMS, SAP, etc)
Drive excellent Visual Merchandising in the store to...
...Experience of 12-18 months in a similar role within a restaurant / bar environment is essential
Ability to multitask.
Flexible in their working hours.
Fluent spoken & written English.
Friendly with a good personality.
Knowledge of POS systems & cash up procedures....
...advises that a sale should be refused if it does not match the companies beliefs
· The employee will ensure that appropriate till and cash procedures is followed at all times
· The successful candidate will play an active role in his/her own career development
Why join...
...Accounts Receivable (AR) function.
Management of Finance Team with emphasis on Inventory and Credit Control.
Management of Bank, Cash & Inventory Reconciliations.
Provision of key metrics to Management Team.
Act as a link between Finance and Sales & Marketing Team...
...before team members visit the site (in consultation with the relevant divisional lead e.g. Lead Ecologist or Senior Hydrogeologist)
Cash flow management based on project deliverables and projected (accurate and reliable) invoicing dates in respect of those deliverables and...
...service times
~ To assist the Head of Department to continually improve the procedures and systems
~ To maintain control over the cash on the premises (Floats, cash registers, the back safe.)
~ Weekly rosters/ forecasts/ ordering and stock takes
~ To handle any complaints...
...site and ensure sufficient records of progress are taken on a regular basis and are adequately documented.
Produce information for the cash flow forecast for the project and update on a monthly basis and after the issue of any updated programmes. Ensure that Sub-contractors...