Cashbook Processing Processing of all cash, credit card, and medical aid receipts in the cashbooks. Processing of all payments in the cashbooks and allocations in the purchases' ledger. Preparation of monthly bank reconciliations for all bank accounts. Reconciliations Daily reconciliation of all cli
An exciting posittio exists for an experience Accountant in the Johannesburg area (close to Crown Mines). The successful candidate will be stable and not a job hopper, with solid experience in Accounting. More information will be provided to shortlised candidates. Must have own car 3 years' experien
Junior Financial Controller (JB4379) Remote (Suitable for candidates in Gauteng only) R25 000 to R30 000 a month CTC Permanent A Travel Retail Software company is looking for a dedicated Junior Financial Controller with International exposure and strong knowledge of Financial Accounting practices. T
The Payroll Administrator ensures accurate and timely employee payments by processing timesheets, reconciling hours and wages, managing payroll systems, and addressing discrepancies. Ensuring employees are paid accurately and on time, regarding all payroll related administration Assist with conversi
Cashbook Processing Processing of all cash, credit card, and medical aid receipts in the cashbooks. Processing of all payments in the cashbooks and allocations in the purchases' ledger. Preparation of monthly bank reconciliations for all bank accounts. Reconciliations Daily reconciliation of all cli
required to travel. Knowledge of the Municipal Systems Act (MSA) and Municipal Finance Management Act (MFMA)
designated Portfolio Manager.
financial controls and procedures. Keep track of municipal accounts and reconciliations. Management Reporting:
which journals are referring to balance daily. -Municipal Schedule preparation to ensure up to date records records are maintained in respect of Municipal suppliers and accurate recording of any disputes. -Matching
statements, and assisting with audits. They will track municipal queries, ensure accurate billing and expense payments