Reference: CPT001123-NP-3 SAIPA ARTICLE CLERK / TRAINEE ACCOUNTANT Durbanville Our client, a reputable Audit and Accounting Practice based in Durbanville, offers an opportunity to a recently qualified candidate to sign up for a SAIPA trainee contract. DUTIES: Assisting the senior accountants and cha
to trial balance, including debtors, creditors, bank, petty cash, journals, etc. Handling of VAT and to trial balance, including debtors, creditors, bank, petty cash, journals, etc. Handling of VAT and
we deliver it with. We believe that all South Africans can expect, and receive, consummately professional telephone system in the cloud, we offer South African businesses the flexibility to work where and how responsible for most things financial at the South African branch of Voys, from basic bookkeeping to financial required From time to time, you will need to do bank reconciliations Debtors control Telephonic and email supplier payments Bank reconciliations Importing daily bank statements Reconciling daily bank transactions
Our client is an upmarket, growing Southern African game lodge and conservation group, and they are looking of the Group - cash; AP; Payment cycles; Reserve Bank; Forex management. Cashflow, and revenue budgeting
financial statements, reports, and budgets. Perform bank reconciliations and ensure accuracy of financial communication and interpersonal skills. Knowledge of South African tax regulations is preferred. Experience in the
A leader within the South African renewable energy space is looking for an Asset Manager to join their strong and proven commercial experience in a South African infrastructure asset management environment. The REIPPPP industry (e.g. DOE, NERSA, Eskom, commercial banks) preferred. Experience in managing businesses with point of contact with Senior Lenders, executing bank transactions and ensuring compliance with all covenants
potential new clients for the Business banking Division of the Bank. To liaise and negotiate with new and and existing clients of the Bank and to accurately analyse potential transactions. To liaise and co-ordinate co-ordinate with relevant staff and departments at the Bank to facilitate and coordinate the initiating and their facilities/business transactions with the Bank so as to ensure effective and efficient business awareness in the market of the Bank's funding capabilities and to grow the Bank's brand. To contribute to achieving
potential new clients for the Business banking Division of the Bank. To liaise and negotiate with new and and existing clients of the Bank and to accurately analyse potential transactions. To liaise and co-ordinate co-ordinate with relevant staff and departments at the Bank to facilitate and coordinate the initiating and their facilities/business transactions with the Bank so as to ensure effective and efficient business awareness in the market of the Bank's funding capabilities and to grow the Bank's brand. To contribute to achieving
correctly. Update the excel bank recon sheet daily (Dollar) Capture various bank statements and reconcile reconcile daily. Process bank transfers/ deals (FEC) Process foreign outward payments Verify/check the freight accounting principles An understanding of South African financial regulations, tax laws and accounting
managing the group's cash flow, financial risk, and banking activities. Job Summary: As a Treasury Analyst including global cash management, operational banking, and providing support to Operating Companies. monitoring, minimize net interest costs, and maintain banking arrangements. Requirements: Bachelor's degree in update Bank Mandates Manage cash management systems and processes Monitor and rationalize bank accounts accounts across the group Manage operational banking arrangements and trade finance Standardize and update