an accountant to join their team based in Gordonsbay. Qualification requirements BCom Accounting or Financial register, VAT, PAYE, Cashbooks and inter company accounts. Monthly and yearly reports Please apply online
Reference: CPT001190-FT-1 SENIOR ACCOUNTANT Bellville Our client, a busines process outsource specialist compliance support. They have a vacancy for a SENIOR ACCOUNTANT to be based at their office in Bellville. Responsibilities system; Accounts payable function (i.e. processing invoices, payments and reconciliation of accounts etc etc.); Accounts receivable function (i.e. distribution of statements, following up on outstanding invoices interpersonal engagement skills; Solid understanding of accounting principles; Strong probing and analytical skills;
the Tourism Industry is looking for a Financial Accountant for their branch in Cape Town Reporting Bi-Weekly Creditors and Debtors team Drive efficiencies and accountability Assisting with statutory audit and Head Office Treasury Prepare reconciliations for all bank accounts on a weekly basis and send to HOF for review Reconcile creditors and debtors monthly and move to correct account with month end FX rate Load OPEX related payments Creditors Capture ad hoc and HR invoices to supplier accounts on Tourplan Reconcile creditor statements on Tourplan
invoices Balance sheet (including key supplier account) reconciliations Month-end journals and reporting Compiling month-end management packs Analyse GL accounts Preparation of monthly VAT returns Prepare, review Senior Accountant and CFO where needed Requirements: BCom Accounting, Diploma in Finance/ Accounting or similar industry will be beneficial Working knowledge on accounting software such as Pastel, Sage, Xero or the like understanding of basic accounting principles and procedures Proficient in using accounting software and Excel
/>Preparation of Accounting analyses for complex contracts and transactions
Maintain accounting policies
/>Develop a training programme for technical accounting policies and delivery of the training
Involved
of balance sheet recons
Provide technical accounting support
Ad hoc duties as required
/>Preparation of Accounting analyses for complex contracts and transactions
Maintain accounting policies
/>Develop a training programme for technical accounting policies and delivery of the training
Involved
of balance sheet recons
Provide technical accounting support
Ad hoc duties as required
producer, has this opportunity for a Financial Accountant based at the County Fair business Unit in Epping producer has this opportunity for a Financial Accountant at the County Fair business Unit, based in Epping transactions captured and to support the Management Accountants with preparation and review of information. The
are passionate about the more technical side of accounting to apply for an exciting opportunity that has Preparation of Accounting analyses for complex contracts and transactions Maintain accounting policies in policies Develop a training programme for technical accounting policies and delivery of the training Involved Review of balance sheet recons Provide technical accounting support Ad hoc duties as required Skills & further Finance jobs, Accountant jobs, Financial Manager vacancies and Management Accountant vacancies. If you
companies is currently seeking a Group Financial Accountant to join their team of professionals in the Northern markets. The Group financial accountant will be responsible for month-end accounting and reporting processes This opportunity allows for the Group Financial Accountant to transition into a Financial Manager over time time. Responsibilities: Month End: Preparing loan account reconciliations and product development cost calculations subsidiaries' management accounts Tax calculations Preparing group consolidated management accounts Year-end Audit:
Southern Suburbs of Cape Town is looking for an Accountant to join their team. The company focuses on venture prosperity for investors and entrepreneurs. As the Accountant , you will be working with a close-knit team Responsibilities : ● Monthly cash book processing, reconcile accounting transactions for four companies. ● Prepare and to companies and shareholders. ● Reconcile loan accounts with companies on a quarterly basis. ● Assist statements. ● Reconciliation of share register to accounts. ● Assist with performing valuations of investments