employ a Cash Controller based in Pinelands RESPONSIBILITIES Perform daily reconciliation of cash Verify Verify cash and credit card balances against daily cash up printouts. Ensure all invoices are received, captured Update records of notes and coins received and given. Perform regular petty cash counts. Verify authenticity money notes using a blue light machine. Deposit cash once it exceeds x amount Order and manage office REQUIREMENTS Grade 12 / Matric essential 1 year Cash Controller / Retail experience Computer literate
Minimum 3 years post-article experience in commerce
AFS (full IFRS)
Proficient in Excel
Qualification:
Qualified CA(SA) or eligible to register CA(SA)
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African team. The team is looking for an experienced Group Accountant to join the team. This successful company
will be responsible for:
As a Group Accountant, you'll play a vital role in ensuring the financial health and integrity of
African team. The team is looking for an experienced Group Accountant to join the team. This successful company successful candidate will be responsible for: Maintain Group Technical Accounting Policies Implementation of
We're seeking a technically minded Group Accountant interested in joining a large, listed food manufacturer and enhance financial reporting processes, within Group. Some traditional Finance Manager functions. Provide
specialized Agri-input companies is currently seeking a Group Financial Accountant to join their team of professionals professionals in the Northern Suburbs. These group companies own, develop, import and distribute a broad Europe and other emerging international markets. The Group financial accountant will be responsible for month-end from time to time. This opportunity allows for the Group Financial Accountant to transition into a Financial management accounts Tax calculations Preparing group consolidated management accounts Year-end Audit:
in 16 countries.
Oversee and manage the financial operations of the Group. Contribute and participate in strategic and tactical financial disciplines and controls throughout the Group and ensure that measures to mitigate risk are effectively effective and efficient financial management of the Group. Coordinate and facilitate governance and compliance the company in accordance with industry and the Group's frameworks in order to monitor and mitigate financial position by applying systematic cash flow forecasting, rigorous cash flow management metrics. Oversight