and available for strenuous travel to outlying branches. About the position: Your career will start off grow into. Responsibilities Traveling from branch to branch conducting stock audits weekly Ensuring accurate
and available for strenuous travel to outlying branches. About the position: Your career will start off grow into. Responsibilities Traveling from branch to branch conducting stock audits weekly Ensuring accurate
has a Group Accountant role available for their branch in Sandton. A disciplined, experienced, focussed Budgets on an annual basis Monitoring outlying branches Assist various stakeholders with the financial in the growth and development of an additional branch Skills & Experience: B-BBEE codes of practice
has a Group Accountant role available for their branch in Sandton. A disciplined, experienced, focussed Budgets on an annual basis Monitoring outlying branches Assist various stakeholders with the financial in the growth and development of an additional branch Skills & Experience: B-BBEE codes of practice
Accountant you will be responsible for a portfolio of branches and will be required to carry out the full financial prepare balance sheet reconciliations for each branch. You will also review the cashbook and petty cash
Counter / Internal Salespeople at their Robertshame branch in Johannesburg. Counter Sales Assist walk in customers
Counter / Internal Salespeople at their Robertshame branch in Johannesburg. Counter Sales Assist walk in customers
Co-ordinating support to all the structures and branches of the association and executing resolutions for membership and industry issues that arise Managing the branches, operations, finances, staff, procurement, suppliers
Co-ordinating support to all the structures and branches of the association and executing resolutions for membership and industry issues that arise Managing the branches, operations, finances, staff, procurement, suppliers
Accountants on the team you will handle a portfolio of Branches and conduct the full Accounting function for each prepare balance sheet reconciliations for each branch. You will also review the cashbook and petty cash