Key Responsibilities Drive performance through the store KPI’s (e.g. turnover, rewards, new accounts, visuals. Etc.). Managing stock losses to ensure shrinkage is in line with the Company standard. Driving turnover to ensure achievement of targets. Ensures
Store Manager (45hr) - Foschini - Jumbo Mall - eMalahleni Job Description Responsibilities: Driving turnover to ensure the achievement of targets Controlling expenses Managing stock losses to ensure shrinkage is in line with the Company standard People
Assistant Store Manager - Clicks Jumbo Mall Apply by: 29 December 2025 Position summary Industry: Wholesale & Retail Trade Job category: FMCG, Retail, Wholesale and Supply Chain Contract: Permanent Remuneration: Market Related EE position: Yes About our
Store Manager (45hr) - Foschini - Jumbo Mall - eMalahleni Job Description Responsibilities: Driving turnover to ensure the achievement of targets Controlling expenses Managing stock losses to ensure shrinkage is in line with the Company standard People
Listing status: Online Apply by: 23 February 2026 Position summary Industry: Pharmaceutical Sector Job category: Dispensing/Pharmacy Contract: Permanent Remuneration: Market Related EE position: Yes About our company Clicks Group Introduction Responsible for providing pharmaceutical care services
Job Description Responsibilities: Assisting the Store manager with Stock take & store administration Monitor and analyse stock movement within the store Implement risk management procedures, which mitigate stock losses and Shrinkage. Ensure compliance of all administration,
Job Description Responsibilities: Assisting the Store manager with Stock take & store administration Monitor and analyse stock movement within the store Implement risk management procedures, which mitigate stock losses and Shrinkage. Ensure compliance of all administration,
REsponsibilites: Salary and wages to reconcile. Ensure accuracy and all reporting deadlines are met. Ensure all iner-company transactions are timely captured and reconciled Management of cash flow. Prepare supporting schedule for audit and management purposes. Co-ordinate