/>Creditor duties
Processing payments
Journal inventory adjustment
Skills
years of experience in a similar role
Degree, diploma, or bookkeeping certificate
Contact
Manage trial balances
Process monthly journals
Manage Fixed Asset Register
Prepare
/>Qualification:
Degree, National Diploma, or BTech in Accounting
Contact
year of Client Service/Call Centre Experience Diploma/Degree in the Financial Services Industry advantageous Opportunity to grow and develop your career Access to bursaries to further your studies Short courses to advance
year of Client Service/Call Centre Experience Diploma/Degree in the Financial Services Industry advantageous Opportunity to grow and develop your career Access to bursaries to further your studies Short courses to advance
apply today. Manage trial balances Process monthly journals Manage Fixed Asset Register Prepare Balance Sheet an accountant Qualification: Degree, National Diploma, or BTech in Accounting Contact LEE-ANN SASMAN
pre-checks Creditor duties Processing payments Journal inventory adjustment Skills & Experience: Sage years of experience in a similar role Degree, diploma, or bookkeeping certificate Contact Hayley Mulder
apply today. Manage trial balances Process monthly journals Manage Fixed Asset Register Prepare Balance Sheet an accountant Qualification: Degree, National Diploma, or BTech in Accounting Contact LEE-ANN SASMAN
pre-checks Creditor duties Processing payments Journal inventory adjustment Skills & Experience: Sage years of experience in a similar role Degree, diploma, or bookkeeping certificate Contact Hayley Mulder
EFT payment packs Release EFT payments Review journals prepared by Creditors Team Prepare monthly general general ledger reconciliations Prepare journals Prepare information required for reporting Review inter-company Prepare monthly stock journals and reconciliation Prepare monthly depreciation journal Prepare monthly reconciliations
EFT payment packs Release EFT payments Review journals prepared by Creditors Team Prepare monthly general general ledger reconciliations Prepare journals Prepare information required for reporting Review inter-company Prepare monthly stock journals and reconciliation Prepare monthly depreciation journal Prepare monthly reconciliations