About the job
Ensure an effective management of administration and financial data process, work closely with various business areas of store.
Your assignment
- Monitor and update daily sales reconciliation related numbers for Store & IKEA Food. Investigate and follow up on variance identified.
- Highlight irregular cash variance and identify improvement measurement.
- Coordinate with Customer Relations while being the custodian of the cash reconciliation process.
- Support the store in monitoring rules and regulations as part of store operating process.
- Centrally consolidate and act as the control point between Store and SO Finance for invoicing matters.
- Responsible for timely and accurate posting for all cash reconciliation relevant details.
- Assist in preparation of daily reports in relation to cash reconciliation functions.
- Any other Accounting and Financial related tasks.