Conducts daily count of stock in the main warehouse and showroom warehouse
Reconciles the stock count with the previous day’s record and the entries in the inventory and accounting software
Submits daily stock reconciliation report to GCAE
Verify and ensure that the equipment and quantities delivered or returned are correct (physical against documentation)
Guarantee that the equipment inventory control processes are executed according to the establishments process, in case there is some difference it must be communicated to the Business Development Manager and GCAE.
Must prepare the damage reports required on the return process (pictures and damage report) within 24hours of delivery
Attend and follow-up on store opening & closing inventories
Complete Sales reconciliation and verify daily sales with stock level
Perform monthly reconciliation of sales
Prepare and present monthly KPI sales audit reports
Document processes and recommend improvements
Train retail team on controls/policies.
Experience
3-year experience in a similar role in a departmental stores or supermarket qualification B.Sc. in
Accounting or Banking and Finance or any other related qualification.