Implementation of new projects Prepare Training Manuals and conduct user training Review databases for existing coaching juniors Preparation of Interim and Annual Financial Statements SQL Support Adhoc tasks regarding AFS Reporting B Com Accounting, Bachelor in Accounting / Financial Accounting / Finacial Informations Systems or for this post Knowledge of Municipal Finance Management Act MFMA will be an added advantage 1 – 5 years years experience in a similar field Project Management Service multiple clients simultaneously
the job: To assist the Financial Manager with various tasks in the Financial Department. Required Qualifications Competencies and responsibilities Assist Financial Manager with various reports where necessary Ensure Monthly review of general ledgers Monthly review of management accounts Responsible for ELP billing Review and skills Proficient in Microsoft Excel Conflict management Please note, only candidates with relevant experience
trial balance
be responsible for the capturing of data and financial information and performing specific general ledger ledger reconciliations for specific areas in the financial accounting processes of the organisation. Min National Diploma in Bookkeeping / Accounting (NQF 6) Financial process understanding up to trial balance Able GRIR/ Blocked invoice reports Open Purchase Order management Sundry Debtors reconciliation Doctor loans /rental improvement Ability to work independently Ability to manage time and deadlines is essential
be responsible for the capturing of data and financial information and performing specific general ledger ledger reconciliations for specific areas in the financial accounting processes of the organisation.
Diploma in Bookkeeping / Accounting (NQF 6)
be responsible for the capturing of data and financial information and performing specific general ledger ledger reconciliations for specific areas in the financial accounting processes of the organisation Minimum National Diploma in Bookkeeping / Accounting (NQF 6) Financial process understanding up to trial balance Able GRIR/ Blocked invoice reports Open Purchase Order management Sundry Debtors reconciliation Doctor loans /rental improvement Ability to work independently Ability to manage time and deadlines is essential
be responsible for the capturing of data and financial information and performing specific general ledger ledger reconciliations for specific areas in the financial accounting processes of the organisation Minimum National Diploma in Bookkeeping / Accounting (NQF 6) Financial process understanding up to trial balance Able GRIR/ Blocked invoice reports Open Purchase Order management Sundry Debtors reconciliation Doctor loans /rental improvement Ability to work independently Ability to manage time and deadlines is essential
records to trial balance Preparation of annual financial statements Pastel, Xero, Caseware / Caseview, Preparation of statutory financial statements compliant with International Financial Reporting standards and Processing of monthly work for clients, including management accounts and preparation of statutory returns of their records to trial balance and annual financial statements Preparation & completion and final
records to trial balance Preparation of annual financial statements Pastel, Xero, Caseware / Caseview, Preparation of statutory financial statements compliant with International Financial Reporting standards and Processing of monthly work for clients, including management accounts and preparation of statutory returns of their records to trial balance and annual financial statements Preparation & completion and final
responsibilities
Assist Financial Manager with various reports where necessary