detail? Do you aspire to kick-start your career in accounting and gain hands-on experience in a dynamic work Clerk, you will be an integral part of their accounting team, assisting with various financial tasks of financial statements Assisting with general accounting tasks, such as bookkeeping and reconciliations abreast of relevant accounting regulations and standards Completed BCom degree in accounting. Strong numerical numerical and analytical skills Proficiency in accounting software and MS Office Suite Good communication
Malaysia. Our client is a leading Residential Property Brokerage with offices in Hong Kong, Kuala Lumpur net worth clients seeking to invest in premium properties. They pride themselves on delivering exceptional motivated Property Sales Representative to join their team in Kuala Lumpur. As a Property Sales Representative identifying, cultivating, and closing lucrative property investment opportunities for our high net worth environment. The ideal candidate will come from property sales, financial services or direct sales. Responsibilities
Bellville. Take full ownership, responsibility and accountability for all transactions, communication, and enquiries regulatory compliance with Companies Act, Trust Property Control Act, FICA, FATCA/CRS, etc. as relevant Regular liaison with third parties including accountants/tax consultants/auditors/lawyers, CIPC, South wider Group Knowledge of the Companies Act, Trust Property Control Act, FICA, FATCA/CRS, etc. Knowledge of
Bellville. Take full ownership, responsibility and accountability for all transactions, communication, and enquiries regulatory compliance with Companies Act, Trust Property Control Act, FICA, FATCA/CRS, etc. as relevant Regular liaison with third parties including accountants/tax consultants/auditors/lawyers, CIPC, South wider Group Knowledge of the Companies Act, Trust Property Control Act, FICA, FATCA/CRS, etc. Knowledge of
debtors, creditors, journals, reconciling bank accounts, invoicing, managing the fixed asset register monthly VAT reconciliations. REQUIREMENTS Matric, Accounting diploma or similar relevant qualification 3-year both verbal and written Good understanding of accounting and financial reporting principles and practices Recording financial transactions such as accounts payable, accounts receivable, expenses and general entries/journals reconciling bank accounts, credit cards accounts, petty cash accounts and other accounts to ensure accuracy
debtors, creditors, journals, reconciling bank accounts, invoicing, managing the fixed asset register monthly VAT reconciliations. REQUIREMENTS Matric, Accounting diploma or similar relevant qualification 3-year both verbal and written Good understanding of accounting and financial reporting principles and practices Recording financial transactions such as accounts payable, accounts receivable, expenses and general entries/journals reconciling bank accounts, credit cards accounts, petty cash accounts and other accounts to ensure accuracy
financial processing. Managing the processing of all accounting entries up to trial balance. To maintain a nominal through regular reconciliations of GL and bank accounts Review Creditors Age Analysis Ad hoc analysis petty cash recons for All companies and assisting Accountant with monthly pack reports The cash flow projection monthly close off on Syspro Overall support to Accountant & Finance team Assisting with year-end audits Reconciling of all Balance Sheet Accounts Reconciling bank accounts Month-end investigations Month-end
assessment Process and data integrity Finance or Accounting Diploma or Degree Business Analysis Diploma or Financial accounting / Financial reporting capability Balance sheet reconciliation and account reconciliation reconciliation skills. Cost Allocations and Product Fund accounting understanding Salary Market Related
Assist with project requirements Support the accounting department with analysis Mapping out complex complex business processes Finance / Accounting / Business / Process / Data analysis Active CA(SA) / CIMA Qualification Financial Services experience Skilled Financial accounting / Financial reporting Strong understanding of
Complete expense/Tax schedules Open new suppliers accounts in Vos Banking Processing funds received within Port Disbursement Accounts Check Pd's for accuracy & completeness off PD accounts Supplementary schedules destruction of documents Maintaining prudent accounting controls over the branch income and expenditure Matric (Grade 12) with grade 12 Accounting & Maths Completed Accounting Degree or Diploma would be an an advantage Minimum 5 yrs practical accounting experience Good command of English and good communication