CA) having worked with Training in Public (TIP) articles with significant experience
substantiating documentation or reviewing the related accounting entries. This is a 3 – 6-month contract
experience.
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. Assist with ad-hoc projects and tasks related to financial data management and analysis as assigned support team for any system-related issues or queries encountered during data entry or reconciliation processes
matching, balance sheet reconciliations, and journal entries. The ideal candidate will have a strong understanding sheet accounts. Journal Entries: Record accurate and timely journal entries for various financial transactions Ensure proper documentation and support for journal entries in accordance with accounting standards. Collaborate departments to obtain necessary information for journal entries. Financial Reporting Support: Assist in the preparation explanations related to GRN matching, balance sheet reconciliations, and journal entries. Process Improvement:
Join us as a Journal Controller and make every entry count towards our success My client is seeking a maintaining recurring journals, processing journal entries, resolving queries in a timely manner, and assisting assets/capex, and tax-related journals. Obtain Documentation: Obtain all necessary journal entries and supporting required documentation. Process Journal Entries: Execute journal entries accurately and efficiently. Ensure policies. Query Resolution: Resolve queries related to journal entries within a 2-day period. Clear queries
Join us as a Journal Controller and make every entry count towards our success My client is seeking a maintaining recurring journals, processing journal entries, resolving queries in a timely manner, and assisting assets/capex, and tax-related journals. Obtain Documentation: Obtain all necessary journal entries and supporting required documentation. Process Journal Entries: Execute journal entries accurately and efficiently. Ensure policies. Query Resolution: Resolve queries related to journal entries within a 2-day period. Clear queries
maintaining recurring journals, processing journal entries, resolving queries in a timely manner, and assisting revenue, AP accrual/AR, assets/capex, and tax-related journals.
accurate financial records through meticulous journal entry management. Your primary responsibilities will include:
related entries.
accurate financial records through meticulous journal entry management. Your primary responsibilities will include: payroll, revenue, accruals, assets, and tax-related entries. Documentation Oversight: Be responsible for all necessary documentation to support journal entries, ensuring compliance and audit readiness. Collaboration: with our accounting team to streamline journal entry processes and identify opportunities for efficiency Qualifications: Completed Matric Completed Finance related qualification Skills: 2 - 3 years' experience in
accurate financial records through meticulous journal entry management. Your primary responsibilities will include: payroll, revenue, accruals, assets, and tax-related entries. Documentation Oversight: Be responsible for all necessary documentation to support journal entries, ensuring compliance and audit readiness. Collaboration: with our accounting team to streamline journal entry processes and identify opportunities for efficiency Qualifications: Completed Matric Completed Finance related qualification Skills: 2 - 3 years' experience in
relevant qualification Job grading: Supervisor or Entry level management depending on qualification and experience analysis of actual vs budget of all open projects, relating to machine builds, refurbishments, repairs etc