the division Review and interpret monthly management accounts Analyse operations, identifying opportunities
log bank statement data Manage payments, ensuring accurate allocation to accounts Investigate and rectify
log bank statement data Manage payments, ensuring accurate allocation to accounts Investigate and rectify
standards. Key Responsibilities: Manage all aspects of financial accounting, including journal entries, reconciliations
standards. Key Responsibilities: Manage all aspects of financial accounting, including journal entries, reconciliations
Reconciliations: Manage petty cash transactions meticulously, reconciling accounts to maintain transparency
Reconciliations: Manage petty cash transactions meticulously, reconciling accounts to maintain transparency
in the disbursements management process. Ensuring the completeness of accounting postings, payments, and
in the disbursements management process. Ensuring the completeness of accounting postings, payments, and
Reference: NPr000955-EHo-1 Fast-growing and well-established ITC company seeks to employ a qualified CA(SA) as Financial Manager to form an integral part of their growing and dynamic team. This position will be based in Cape Town CBD. Job & Company Description: The successful candidate will over