sheet account reconciliations. Process adjusting journals at month end Assist with the preparation of client finance, or related field. Previous experience or internship in an accounting role preferred; minimum of 2
Protection of Personal Information Act, Act 4 of 2013 (“POPIA”).
balance. Monthly bank reconciliations. Monthly journal entries. VAT reconciliations (assistance with income
and execute both routine and adjusting monthly journal entries, and distribute monthly general ledger
Filing Processing of debit/credit cards Posting of journals Skills: Attention to detail and ability to detect
stock-levels periodically, ensuring that intercompany journals and invoices are raised to reflect correct stock-levels