agencies. Handle accounts payable and recievables, bank reconciliation payroll and cash management and inventory
agencies. Handle accounts payable and recievables, bank reconciliation payroll and cash management and inventory
Agritalent client, a leading agribusiness, seeks an Internal Auditor at its Head Office. Relevant experience (TBA)
Vacancies exist for Bill Auditors / Assessors that have a minimum of 5 years' experience in a Hospital Develop and maintain sound relationships with internal customers to achieve co-operation and compliance
Coordinate with auditors and ensure timely completion of audits. Implement and maintain internal controls to needed. Liaise with external stakeholders such as banks, regulators, and tax authorities. Ensure that all
for cost-reduction opportunities. Liasing with auditors to ensure annual monitoring is carried out. Developing relationships with appropriate contacts, e.g. auditors, solicitors, bankers, and statutory organisations
benchmark best practices both nationally and internationally for complexity, capability and cost competitiveness with the Divisional Management and auditors to evaluate risk, internal controls and assist the finance team prepared in accordance with Group guidance, International Financial Reporting Standards (IFRS) and Denel regulations. Advice on changes to internal documents to ensure better internal controls. Ensure Statutory and and Taxation compliance. Participate in internal and external audits including timely closed out of audit
processing of financial transactions (payments, journals, bank reconciliations, receipts) and statutory returns Administrator and Finance Executive and external auditors • Attend monthly Council meetings to present monthly reconciliations to check balances back to ledger and bank statement and sign off for filing • Process monthly Online, Pastel, Hyphen etc. • Conduct daily check on bank accounts to verify payments and ensure sufficient
Provide financial information to External & Internal auditors. Serve as the interface between the Energy
with account statements. • Posting of payments on bank statements. • Receiving cash payments from customers