fund, bad debt, incentives, overdraft facility, general provisions, income statement reconciliations, and aspects of the overdraft facility. Administer general provisions. Other Responsibilities: Conduct income
quarterly Board packs. Maintenance of General Ledger. Monthly General Ledger account reconciliations. “A”
the 1st of applicable month Allocate to correct general ledger Reference: Detailed description of invoice month-end reconcile invoices to statement and general ledger File final creditors listing for the month professionalism is withheld with clients at all times General: Maintaining filing system Maintain electronic
performance, oversee project accounting, ensure accurate general ledger entries, and provide financial insights
third party interfaces. Interface payroll into general ledger. Print reports from SAP. Be responsible
queries from brokers – Turnaround time 24 hours. General correspondence with brokers via email, fax, or procedure (electronically) by all Underwriting staff. General Office Administration. Develop relationships with
queries from brokers – Turnaround time 24 hours. General correspondence with brokers via email, fax, or procedure (electronically) by all Underwriting staff. General Office Administration. Develop relationships with
ensure payments are in line with calculations General Support all stakeholders in the resolution of issues or Financial Management (NQF level 7) Certified General Accountant Industry Related.
012 348 4940 Recruitment Consultant: CA(SA) AND General Finance R 800000 - R 900000 - Annually
012 348 4940 Recruitment Consultant: CA(SA) AND General Finance R 900000 - R 1000000 - Annually