Accounts Assistant (JB4381) Edenvale, Johannesburg R20 000 per month, CTC Permanent As the Accounts Assistant assisting the Cashbook Administrator as well as the Accounts Payable/Receivable Administrator in a fully remote NQF5 or higher in accounting (or currently pursuing) Minimum of 1 year in accounts payable, receivable cashbooks Calculate forex and commission Assist the Accounts Payable/Receivable Administrator: Monitoring and Ensure accurate record-keeping Processing invoices, credit notes and submitting statements to client Intercompany
Required for a well established company based in Edenvale Debtors Creditors Adminstration Data capture Client liaison Matric Min 3 years experience with a stable track record Pastel experience essential
an Accountant / Senior bookkeeper to join their team. 3 years' experience as a junior accountant or
Reference: MP007388-LW-1 Edenvale Senior Bookkeeper/Accountant R30 000 - R35 000 CTC (Depending on experience) 5 years' proven experience in bookkeeping or accounting roles Proficiency on SAP and MS Office Strong accurate and timely completion of accounting tasks Perform ad hoc accounting duties and analyses as required
Reference: MP007389-LW-1 Edenvale Senior Bookkeeper/Accountant R35 000 - R40 000 CTC (Depending on experience) 5 years' proven experience in bookkeeping or accounting roles Proficiency on SAP and MS Office Strong accurate and timely completion of accounting tasks Perform ad hoc accounting duties and analyses as required
Trainee Clerk Matric and Registered for a BComm Accounting Degree, OR Busy with studies, OR completed Degree Trainee Clerk Matric and Registered for a BComm Accounting Degree, OR Busy with studies, OR completed Degree
company in Edenvale is looking for a Temporary Credit Controller to join their team Minimum requirements: transportation is a must Key Responsibilities: Managing accounts payable transactions Reconciling invoices and
company in Edenvale is looking for a Temporary Credit Controller to join their team Minimum requirements: transportation is a must Key Responsibilities: Managing accounts payable transactions Reconciling invoices and
design and quality of training offered in CPD and Learnerships, as well as managing and improving the QAS product and simulation programs supporting the CPD and learnerships programs. •Engage with the Training Manager finance-related processes. •Review the monthly management accounts for the two product streams and check for correct of staff's leave on a timely basis, taking into account work requirements and any Board-related leave decisions
design and quality of training offered in CPD and Learnerships, as well as managing and improving the QAS product and simulation programs supporting the CPD and learnerships programs. •Engage with the Training Manager finance-related processes. •Review the monthly management accounts for the two product streams and check for correct of staff's leave on a timely basis, taking into account work requirements and any Board-related leave decisions