advantageous)
level 4 Bachelor's degree / diploma in finance, accounting, or a related field Technical Competencies and accurate financial records Analyse and reconcile creditor statements Experience in reconciling of GRN Trial
to source a TEMP ACCOUNTS PAYABLE CLERK (4 to 5 months). < minimum of 1 to 2 years experience as an Accounts Payable Clerk.
Advanced Excel skills.
Experience
Allocating expenses to GL accounts and cost centers.
Completes payments by reconciliation of supplier accounts, and posting for payment.
Reconciling accounts on SAP.
Purchase
and DAX - Strong knowledge of regulations and accounting standards - Excellent analytical, organizational the creditor department, ensuring accurate and timely payments. - Develop and implement accounting policies payment discrepancies. - Maintain and reconcile creditor ledgers for accurate payments. - Provide excellent inquiries concerning account status. - Assist with annual audits. - Monitor accounts for discrepancies. Diploma or Higher Certificate in Finance and/or Accounting - Excellence in Intermediate to advanced Microsoft
level 4 Bachelor's degree / diploma in finance, accounting, or a related field Technical Competencies and accurate financial records Analyse and reconcile creditor statements Experience in reconciling of GRN Trial
Degree in Finance or Accounting
experience in a production accounting environment.
Responsibilities will include but not be limited to, full finance function including income statements, budgets, journal entries, management reporting, balance sheet, supplier age analysis, year-end audit, recon preparations, fixed-assets schedule, annual financial statements, dealing with SARS, VAT
is urgently looking for a Mid-level / Senior Accountant situated at the Company’s main / head office Bachelor’s degree from a credible university in Accounting and/or Finance course Work experience with a track record of up to three to five years in an Accounting Department or Audit Firm that required high-performance Preparation of accounts Ensure the preparation of timely and accurate monthly management accounts and reports balance sheet reconciliations and control accounts. Assist accounting team in the preparation of the financial
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