Intercompany Transactions
Prepare transfer pricing calculations for intercompany stock transfers in compliance with internal policiesProcess and manage intercompany recharges accurately and on a timely basis Reporting & Analysis
Maintain and update daily Net Sales (NS) trackerUpdate GCA Net Sales reporting and related trackers (weekly)Prepare Omni-channel and Like-for-Like (LFL) sell-out reports for GCA (weekly)Collaborate with GBS to prepare Net Sales reports for landlords, supporting turnover rent calculationsLead annual audit for turnover certificates Banking & Treasury Operations
Prepare and process manual payments in accordance with internal controlsLiaise with banks on account management matters, including user access, signatory updates, and system issuesManage annual Bank Account Management (BAM) requirements in line with g...