Daily
& Experience: Bachelor's degree in Accounting, Finance, or a related field. Professional certifications information saved on the electronic storage drives for staff and client information Daily / Weekly tasks Checking Checking that bookkeepers have done their banking checks; Authorizing store expenditure after scrutinizing payments on electronic banking; Addressing client queries, staff queries and other internal group queries Performing/checking incentive calculations for staff at stores; Ensuring all salary related items, EMP's
This includes invoices, receipts, payments, and other financial records. Accounts Payable : Managing accounts following up on overdue accounts. Bank Reconciliation : Reconciling bank statements with company records Bookkeepers or Accountants : Supporting senior staff in various accounting tasks, including research Communication : Collaborating with other members of the finance team and communicating effectively with
Fixed Assets
reports. Processing of cashbooks (importing) and bank reconciliations. Processing of salary journals and fixed asset journals and other journals. Liaison with auditors. Liaison with staff and owners at stores, management and others. Payment of accounts on electronic banking. Attending to daily queries at store store level. Completion of credit application and other forms. Fixed Assets Maintenance of fixed asset registers Reconciling of cash banked by store to daybooks daily and follow-up of over/under banking. Checking of daybooks
and Responsibilities Daily administration of finances – bank reconciliations, queries, quotations, Receipts the company Liaising with SARS, Bank, Insurance Company and any other financial institutions where necessary cashflow statement & trial balance EC RPO daily finances & monthly report Traceability Account monthly Relevant finance qualification essential for some roles An excellent understanding of finance processes
Relevant finance qualification essential for some roles An excellent understanding of finance processes Powerpoint Duties : Daily administration of finances – bank reconciliations, queries, quotations, Receipts income payable Liaising with SARS, Bank, Insurance Company and any other financial institutions where necessary cashflow statement & trial balance Daily finances & monthly report Traceability Account monthly
Finance Administrator responsibilities include maintaining records for all transactions, preparing reimbursements. If you have a strong background in Finance and knowledge of bookkeeping activities, we'd ccounting (basic debit/credit knowledge)
bookkeepers are met, · Release payments on electronic banking, · Checking salaries and incentives, · Ensure all deadlines, · Managing the process with clients for staff increases once a year, · IRP501 reconciliation twice registered, · Minimum 3 – 5 years relevant experience, · Staff management experience essential, · Proficient in
bookkeepers are met, · Release payments on electronic banking, · Checking salaries and incentives, · Ensure all deadlines, · Managing the process with clients for staff increases once a year, · IRP501 reconciliation twice registered, · Minimum 3 – 5 years relevant experience, · Staff management experience essential, · Proficient in