aspects of financial accounting, including journal entries, reconciliations, and financial statement preparation
information effectively to stakeholders at all levels.
Qualifications:
maintain the general ledger
Reconciliation of entries into the accounting system
Recording of debits
accurate
Reporting to senior management on a global level
SARS submissions for PAYE/VAT
Bank reconciliation
Reconciliation of entries into the accounting system
Recording of debits
EMP201returns
reconciliations Submit EMP201returns TAX Cashflow Cashbook entries & bank reconciliation Petty Cash administration
reconciliations Submit EMP201returns TAX Cashflow Cashbook entries & bank reconciliation Petty Cash administration
returns
Profile:
maintain the general ledger
Reconciliation of entries into the accounting system
Recording of debits
accurate
Reporting to senior managment on a global level
SARS submissions for PAYE/VAT
Bank reconciliation
Reconciliation of entries into the accounting system
Recording of debits
accurate
Reporting to senior managment on a global level
SARS submissions for PAYE/VAT
Bank reconcilliation
process. Capturing and reconciliations of Cashbook entries. Monthly and annual stock count co-ordination. perform within a team. Working knowledge of SAP. High level of Excel capability. Good numeric skills. Strong to interact with different stakeholders on all levels of the entity. Maintain good working relationships
Requirements: