management, accounts payable and receivable, journal entries, and more. This role requires strong analytical processing, and reconciliation. Prepare and post journal entries for month-end and year-end close. Assist with inventory management processes to optimize stock levels and minimize carrying costs. Conduct regular stock interpersonal abilities. Detail-oriented with a high level of accuracy. Budget: Between R30k to R40k per month
Bank reconciliation
Financial reports. Assets. Budgets. Ledgers. Journals. Compliance. KPI – Key Performance Indicator's: Ensuring the accuracy and completeness of ledger entries and postings, reconciling ledger balances with any discrepancies that may arise. Journals: Recording journal entries accurately and comprehensively, following following established journal entry procedures and guidelines, and processing journal entries in a timely manner
invoices, purchase orders, expense reports, journal entries, and capitalizing of placed devices as assets members to resolve discrepancies and address data entry issues. Generate and distribute financial reports proficiency in ERP system functionalities and data entry processes. Adhere to established internal controls system-related issues or queries encountered during data entry or reconciliation processes. Track progress of ERP by management. EDUCATION: FORMAL QUALIFICATIONS Level of Education: Bachelor's Degree in Finance/Accounting
to submit and liaise with Auditors. Perform journal entries Managing bank payments and SARS clearance documents
Negotiable JOB REQUIREMENTS Grade 12 / NQF Level 4 Degree / NQF level 7 Relevant tertiary qualification related reports. Compiles financial information to prepare entries to accounts, such as general ledger, documenting projected company financial position Prepare monthly journals Assist with annual audit preparations. Investigating
REQUIREMENTS
Grade 12 / NQF Level 4
Degree / NQF level 7 Relevant tertiary qualification
Compiles financial information to prepare entries to accounts, such as general ledger, documenting company financial position
Prepare monthly journals
Assist with annual audit preparations.
Investigating
meticulous review of balance sheet recon, journal entries and managing internal control. Experience in