Cash and Stock Controller
Up to £35,000 per annum.
Luton.
Key Responsibilities:
* Provide financial support to multiple company sites, assisting with sales, cash management, and stock control.
* Analyse underperforming sectors by identifying financial risks and implementing solutions.
* Develop and implement processes to support both new and existing business initiatives.
* Address and solve cash reconciliation issues, ensuring risks are identified and escalated promptly.
* Complete financial health checks across all brands, identifying potential risks.
* Participate in monthly finance reviews, highlighting risks and opportunities whilst providing support.
* Ensure compliance with site cash handling procedures while offering necessary support.
* Train colleagues on key financial processes, including cash handling and stock management.
* Identify improvements to enhance efficiency and streamline operations.
* Represent finance in meetings with stakeholders.
* Assist with ad-hoc financial tasks and projects as required.
Key Attributes:
* Solid Excel skills
* Good understanding of cost of sales, cash loss, and stock holding.
* Strong understanding of trading accounts - stock loss, bad debt, and cash write-offs.
* Excellent communication and time management skills.
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