group accountant to join an established creative company. You will take ownership of the finance function agreements concluded between the companies and their clients Assist the Operations Director with the bi-weekly Finance Meetings for all companies Attend Board Meetings of all companies, held once every four months Reconcile creditors and debtors' accounts and the company's bank accounts Compile and prepare all SARS payments Regularly interface with the company's auditors and prepare and assist in the completion of annual audits
group accountant to join an established creative company. You will take ownership of the finance function agreements concluded between the companies and their clients Assist the Operations Director with the bi-weekly Finance Meetings for all companies Attend Board Meetings of all companies, held once every four months Reconcile creditors and debtors' accounts and the company's bank accounts Compile and prepare all SARS payments Regularly interface with the company's auditors and prepare and assist in the completion of annual audits
investment/portfolio models as required by the team. Assistance of investment due diligence including key economic related management reports, including company bores and CEO report. Assist with and manage the process for signing of resolutions, co-ordination of the companies' documentation packs etc.) Following global infrastructure material and analysing outlook which may affect the companies' portfolio, prepare and summarize for Investment
investment/portfolio models as required by the team. Assistance of investment due diligence including key economic related management reports, including company bores and CEO report. Assist with and manage the process for signing of resolutions, co-ordination of the companies' documentation packs etc.) Following global infrastructure material and analysing outlook which may affect the companies' portfolio, prepare and summarize for Investment
interacting daily with Financial Planning Partners, Assistants, Finance and the MIS Team amongst others. Responsibilities: stationery / office refreshments for all offices in the Company Monitor the central e-mail accounts Receive, validate process Investec CCM withdrawals for clients daily Assist with the opening of new Investec CCM accounts in and reconcile the daily bank statements for the Company relating to commission / fee deposits received Financial Planning Partners who have left the company Preparation of month end reconciliation packs for
interacting daily with Financial Planning Partners, Assistants, Finance and the MIS Team amongst others. Responsibilities: stationery / office refreshments for all offices in the Company Monitor the central e-mail accounts Receive, validate process Investec CCM withdrawals for clients daily Assist with the opening of new Investec CCM accounts in and reconcile the daily bank statements for the Company relating to commission / fee deposits received Financial Planning Partners who have left the company Preparation of month end reconciliation packs for
their team. Benefits: Working for an International Company Central offices Competitive salary Responsibilities: receipting Transfers between bookings Allocations and assist with customer receipting queries, and cash collection
their team. Benefits: Working for an International Company Central offices Competitive salary Responsibilities: receipting Transfers between bookings Allocations and assist with customer receipting queries, and cash collection
interacting daily with Financial Planning Partners, Assistants, Finance and the MIS Team amongst others Operational refreshments for all offices in the Company Monitor the central company e-mail accounts Receive, validate process Investec CCM withdrawals for clients daily Assist with the opening of new Investec CCM accounts in reconcile the daily bank statement for both Company Advisory and company relating to commission / fee deposits Financial Planning Partners who have left the company Preparation of month end reconciliation packs for
interacting daily with Financial Planning Partners, Assistants, Finance and the MIS Team amongst others Operational refreshments for all offices in the Company Monitor the central company e-mail accounts Receive, validate process Investec CCM withdrawals for clients daily Assist with the opening of new Investec CCM accounts in reconcile the daily bank statement for both Company Advisory and company relating to commission / fee deposits Financial Planning Partners who have left the company Preparation of month end reconciliation packs for