Key Responsibilities Stock Reporting Process stock adjustments and journal entries Align stock on hand in WMS and Pastel with the National Inventory Manager Participate in monthly stock takes, audits, and variance analysis Assist finance with stock-related investigations and discrepancies Balance TB to Inventory Valuation monthly and resolve variances Ensure accurate stock costing in Pastel Adjust and maintain average cost pricing in Pastel Support and resolve general stock-related issues Financial Reporting Manage department P&L reporting, margins, and rebate files Calculate monthly working capital, labour costs, and rebates Analyse GP margins and monthly P&L movements Process distribution allowance claims and growth incentives Resolve pricing queries and assist with outstanding claims Investigate debit balances and additional discounts Support external audit requests and annual budget preparations Conduct monthly DC reviews, payments, and balance sheet reconciliations General Approving new product listing Interpreting & presenting revised trading terms to CFO for approval Assist with drafting SOPs Approve price deviations Liaise with suppliers to resolve pricing & related queries Updating & maintaining the master terms sheet Send sales data to our supplier in line with contractual obligations Daily price investigations Daily sale trend analysis Review of department Trading Terms Assisting with loading payments Key Requirements: Matric and Degree in Finance, Accounting or related field 3-5 years experience in similar stock focused role Strong knowledge of financial reporting and regulations Advanced proficiency in accounting software and MS Excel Excellent analytical, leadership, and communication skills