Responsibilities: Administrative : Assisting with the management of accounts and ensuring accuracy of the accounting internal control procedures, Drafting of management accounts and financial statements, Assist in the compiling
Responsibilities: Administrative : Assisting with the management of accounts and ensuring accuracy of the accounting internal control procedures, Drafting of management accounts and financial statements, Assist in the compiling
Essential Pastel experience Essential Excel experience English and Afrikaans Experience in Stock takes Able to work under pressure Will report to Accountant Manage Creditors Reconcile invoices and bank statement Assist with Debtors Ad hoc bookkeeping duties.
manage payments, invoices, and expenses. Maintain accurate financial records and reconcile accounts. finance, or HR roles. Certification in office management, accounting, or HR (optional but advantageous). Working
manage payments, invoices, and expenses. Maintain accurate financial records and reconcile accounts. finance, or HR roles. Certification in office management, accounting, or HR (optional but advantageous). Working
our financial records and manage financial tasks. Maintain accurate accounting records. BCOM Accounting irregularities to management. Adhere to company HR policies. PASTEL is Essential B.Comm in Accounting or similar
contact with existing end-user customers. Manage key accounts, attending monthly KPI meetings and driving
contact with existing end-user customers. Manage key accounts, attending monthly KPI meetings and driving
2nd Line IT Support – Montague Gardens, Cape Town – R30 000 to R40 000 based on qualifications and Experience UK based Company specialising in Delivering fresh, tech-led customer engagement solutions for global brands is looking for a talented individual to join their team as a Full-Time 2nd Lin
Invoicing: Generating and sending out invoices to customers for goods or services rendered. Payment Processing: Recording and processing incoming payments from customers, including cash, checks, and electronic payments. Account Reconciliation: Matching payments received with outstanding invoices and