Reference: CTF018466-HAY-1 Join this JSE-listed company with branches nationwide and elevate your career skilled in E-commerce as well as the financial services aspect of the business. Additionally, oversee
Reference: CTF018466-HAY-1 Join this JSE-listed company with branches nationwide and elevate your career skilled in E-commerce as well as the financial services aspect of the business. Additionally, oversee
maintain the financial records of a group of companies. If you're eager to elevate your skills in commerce daily and month-end payments for suppliers and service providers, and input into cash flow records Confirm international payments received in company accounts Input service provider invoices into Pastel accounting promptly Record cash receipts and disbursements as needed/requested Ensure that Management Accounts support
maintain the financial records of a group of companies. If you're eager to elevate your skills in commerce daily and month-end payments for suppliers and service providers, and input into cash flow records Confirm international payments received in company accounts Input service provider invoices into Pastel accounting promptly Record cash receipts and disbursements as needed/requested Ensure that Management Accounts support
timely reconciliation of bank accounts Predict cash needs and oversee cashflow as per fund policies Compile accounts according to accounting guidelines Uphold Service Level Agreements Conduct monthly reconciliations Draft annual financial statements Address audit needs and enact auditor recommendations Submit financial
timely reconciliation of bank accounts Predict cash needs and oversee cashflow as per fund policies Compile accounts according to accounting guidelines Uphold Service Level Agreements Conduct monthly reconciliations Draft annual financial statements Address audit needs and enact auditor recommendations Submit financial
timely reconciliation of bank accounts Predict cash needs and oversee cashflow as per fund policies Compile accounts according to accounting guidelines Uphold Service Level Agreements Conduct monthly reconciliations Draft annual financial statements Address audit needs and enact auditor recommendations Submit financial
timely reconciliation of bank accounts Predict cash needs and oversee cashflow as per fund policies Compile accounts according to accounting guidelines Uphold Service Level Agreements Conduct monthly reconciliations Draft annual financial statements Address audit needs and enact auditor recommendations Submit financial
timely reconciliation of bank accounts Predict cash needs and oversee cashflow as per fund policies Compile accounts according to accounting guidelines Uphold Service Level Agreements Conduct monthly reconciliations Draft annual financial statements Address audit needs and enact auditor recommendations Submit financial
timely reconciliation of bank accounts Predict cash needs and oversee cashflow as per fund policies Compile accounts according to accounting guidelines Uphold Service Level Agreements Conduct monthly reconciliations Draft annual financial statements Address audit needs and enact auditor recommendations Submit financial