codes, cost centers, and segments Processing of cash book entries and fixed asset register maintenance and processing of standing journals and goods in transit reconciliation Completion of VAT, tax, and royalty Revaluation of accounts payable, receivable, and cash book sub-ledgers Application of financial accounting
12. Relevant qualification advantageous. Valid driver’s license / own reliable vehicle. Person must be stock-take valuations and reporting. Department-specific cash flow statement report. Provisional tax projection
clients about insurance coverage, investment planning, cash management or any other areas in order to help them qualification an added advantage but not essential Own car Drivers License Laptop Network of clients The post Insurance/Wealth
approval. Effective Management of Cash Book and Petty Cash Ensure cash book entries have been captured signed off. Manage petty cash. Ensure reconciliation of petty cash Sign off petty cash reconciliations. Effective
management accounts Asset Financing Budgeting and Cash Flows Creditor and Debtor Management Audit Preparation Statutory Submissions Monthly Management accounts Daily Cash Flows Reporting and on accurate and complete financials
dynamic team in Sandton ASAP. JOB DESCRIPTION Daily cash book processing, reconciling and allocation. Raising attention to detail Own reliable transport with valid driver's license Must be fully bilingual in Afrikaans and
dynamic team in Sandton ASAP. JOB DESCRIPTION Daily cash book processing, reconciling and allocation. Raising attention to detail Own reliable transport with valid driver's license Must be fully bilingual in Afrikaans and
status and bank account information
neighbouring areas
manner.
Financial Rep
is essential
amounts.