Mid-Level INVESTMENT ASSOCIATE (Infrastructure | Project Finance) – Western Cape, SA (Hybrid) Highly Proven financial modelling skills gained with high levels of proficiency on MS Excel Good working knowledge Andrea Jones: ajoneselev8recruitment.co.za Mid, Level, INVESTMENT, ASSOCIATE, Infrastructure, Project
Town. Responsibilities: Post and process journal entries to ensure all business transactions are recorded role. Advanced level of competency in MS Excel software application. Intermediate level of competency to work as part of a high-performance team. High level of accuracy and attention to detail required. Remuneration:
the general ledger. Ensure accuracy of journal entries and postings. Monitor cash flow and update cash submit weekly cash flow projections. Review payroll entries and ensure accuracy. KPIs: Budget variance analysis returns. Close out month-end process and ensure all entries are posted.
finance activities. You will capture financial entries, review financial performance, and distribute financial disposal, depreciation, and related accounting entries. The successful candidate will have 4-5 years’ month-end deadlines promptly. Capture financial entries, review financial performance and distribute financial disposal, depreciation and related accounting entries. Prepare commission payable and commission provision
NQF Accounting Level 5/ Bookkeeping Level 3
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Experience in data collection, entry and reporting with great attention to detail and abilities with aptitude in problem-solving
NQF level 5 Accounting Certificate or equivalent; ICB in Booking
View – R8 000 Per Month NQF Accounting Level 5/ Bookkeeping Level 3 Request, collect and verify monthly accounting principles Experience in data collection, entry and reporting with great attention to detail and abilities with aptitude in problem-solving NQF level 5 Accounting Certificate or equivalent; ICB in Booking
Reconciling balance sheet accounts and posting journal entries Maintaining accounts receivable and accounts payable
ng balance sheet accounts and posting journal entries
Maintaining accounts receivable and accounts
multitask. Monthly bank reconcilations and journal entries; VAT reconciliations; Debtors; Creditors; Preparation
submission of VAT 201 after approval of FM. Cash book entries after review of bank reconciliation done by staff Reconciliations. Checking and posting of recurring Journal entries. Liaising with various stakeholders in respect