candidate MUST be a CA (SA) with at least 2 years post articles with experience in dealing with reporting
Batch Schedules. Good understanding of Control-M/EM batch alerts, what this impact. Good working knowledge
CPT001575-CTBBP-1 Malmesbury region Financial controller post available for a person with experience in recons accounting etc Malmesbury region Financial controller post available for a person with experience in recons General assistance to Financial Manager Grade 12 Post-matric qualification in Accounting At least 3 –
with clients about outstanding payments Post client invoices Post bank statements and perform bank reconciliations established reconciliation process Post supplier invoices Reconcile and post Senior Management expenses Assist
with clients about outstanding payments Post client invoices Post bank statements and perform bank reconciliations established reconciliation process Post supplier invoices Reconcile and post Senior Management expenses Assist
including verifying, classifying, computing, posting and recording accounts receivables' data. Prepare that all payments are accounted for and properly posted. Verify discrepancies and resolve clients' billing ensure payment is received Ensure all payments are posted correctly with correct references All queries to the correct period Attention to VAT portion when posting Maintain customer profiles Maintain customer relationships
a Financial Accountant with; Post graduate qualification in Finance Post qualification experience is beneficial register and intercompany accounts. Post graduate qualification in Finance Post qualification experience is beneficial
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Post matric qualification in finance or accounting.
Post graduate qualification
Malmesbury region Financial controller post available for a person with experience in recons, Banking
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Grade 12
Post-matric qualification in Accounting
At least
the ECN Finance department. The duties include posting journal entries, updating financial statements reports, dealer commissions. The duties include posting journal entries, updating financial statements