Manage petty cash Filing : Keep debtor records organized Maintain creditor files Organize cash slips Contract
Manage petty cash Filing : Keep debtor records organized Maintain creditor files Organize cash slips Contract
up to and including the Balance Sheet, Income and Cash Flow Statements, with supporting working papers in this regard. Maintain the Programme budget and cash flow projections, including a monthly expenditure
up to and including the Balance Sheet, Income and Cash Flow Statements, with supporting working papers in this regard. Maintain the Programme budget and cash flow projections, including a monthly expenditure
external creditor-related queries. Provide weekly cash flow data to the line manager. Coordinate and maintain
receipting and allocation Group mapping queries – Related to allocation between group entities Intercompany
Our client is seeking a Group Financial Accountant for a 6-month maternity contract cover cover in their Cape Town office, reporting to the Group Financial Executive.
To be considered for
and matching Manage funds, assets management and cash flow Requirements: BCom financial accounting degree
matching
Requirements:
daily financial transactions across our diversified group of businesses. This role requires strong attention