Reconciling staff expense reports for monthly reporting Reviewing the information provided by staff (receipts reportingAssist with opening company bank accounts and staff credit card applications Maintaining and updating
Reconciling staff expense reports for monthly reporting Reviewing the information provided by staff (receipts reportingAssist with opening company bank accounts and staff credit card applications Maintaining and updating
multiple entities within a company portfolio. You would need to have completed articles and be SAIPA qualified Responsible for both routine tasks and ad-hoc duties as needed Requirements: BCom in Accounting SAIPA articled
for annual turnover reviews Ad-hoc assignments as needed Requirements: Qualification: Accounting knowledge
for annual turnover reviews Ad-hoc assignments as needed Requirements: Qualification: Accounting knowledge