accounting adjustments via appropriate journal entries. Review financial statements and transactions to adherence to accounting standards. Input accounting entries using relevant journals. Engage in accounting projects efficiently, adhering to regulations and agreed Service Level Agreements (SLAs) under supervision. Possess familiarity
proper ledger accounts. - Ensure correct invoice entries into the accounts receivable module of any accounting payable. - Proficient in data entry and management (Intermediate level with Excel) - Excellent organisation
proper ledger accounts. - Ensure correct invoice entries into the accounts receivable module of any accounting payable. - Proficient in data entry and management (Intermediate level with Excel) - Excellent organisation
with Complexity Reporting Research Results Data Entry Skills Accounting Attention to Detail Confidentiality transactions. Balances subsidiary accounts by reconciling entries. Maintains general ledger by transferring subsidiary ledger by preparing a trial balance; reconciling entries. Maintains historical records by filing documents
with Complexity Reporting Research Results Data Entry Skills Accounting Attention to Detail Confidentiality transactions. Balances subsidiary accounts by reconciling entries. Maintains general ledger by transferring subsidiary ledger by preparing a trial balance; reconciling entries. Maintains historical records by filing documents
Sydney Road operations. Post and process journal entries to ensure all business transactions are recorded Excellent organizational abilities Displays a high level of meticulousness Proficient with numbers and figures
including bookkeeping, reconciliations and journal entries •Prepare and analyse annual financial statements Credit and Criminal checks •Validation of Highest Level of Education •Valid References See Description See
Pietermaritzburg Our well-established client is seeking a mid-level Accountant to join their team. Responsibilities: with regulatory requirements Posting of Journal entries Communicating with accounts staff in resolving
in general accounting/bookkeeping entries; Liasing with various levels of management and staff within the
journal entries for all receipts, payments, and other financial transactions Posting journal entries to ledger