Cape Town City Centre
18000 Monthly
close process relating to journal entries, bank and account reconciliations.
Support the team
annual financial statements.Assist with bank account opening, scrip account opening, local and offshore
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Sandton
structuring
Experience in auditing, banking, financial accounting and or sales and marketing will be
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Sabenza It RecruitmentMidrand
REQUIREMENTS: SAP ABAP knowledge in FI/CO Banking Accounts Receivable Accounts Payable Asset Accounting
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East London
SAGE
Cashbook of various bank accountBank reconciliation of bank accountsPetty cash. Allocate
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Profile DataEast London
SAGE Cashbook of various bank account Bank reconciliation of bank accounts Petty cash. Allocate to correct
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Profile DataEast London
SAGE Cashbook of various bank account Bank reconciliation of bank accounts Petty cash. Allocate to correct
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Isando
Market related
include treasury operations, bank relationship management, cash accounting & query management. Responsible
daily cash activities.
Performs daily bank account reconciliation.Assists with preparation
Processes miscellaneous deposit items for corporate bank accounts.Assists with annual budgeting analysis
transactions and resolves errors.Controls bank account balances and interfaces with bank about bank
bank service fees.Processes returned bank account items and distributes to other departments, as
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Menlyn
processes, e.g., Bank Statement Processing, Bank Account Management, In House Bank and Cash Management
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Johannesburg
500000
applicable entities including bank reconciliations
Accountable for all daily, monthly and quarterly
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