Description:
Are you a dynamic accounting professional looking for the next step in your
your career? We are seeking a talented Assistant Accountant to join our clients team located in the beautiful
/>
Duties:
individual to join our clients team as a Trust Account Support Professional.
Main
ensuring accuracy and completeness across various accounts and transactions.
monthly Franchisor reporting submissions
Advert Title: Accountant
Subtitle: Brackenfell, Cape Town
Accountant to join their team in Brackenfell.
Job
scheduling
Sars submission
Banking
Assist new employees
Liaise with internal and external
/>Skills & Experience:
Tax & Accounting
Qualification:
The incumbent will be responsible for the full accounting function, including but not limited to:
of 45
Non Smoker
Must have accounting experience, lots of reconciliations are required have experience with Excel and accounting packages.
Must speak English and Afrikaans
3rd party cash account statements.
Reconciliation of various 3rd party cash accounts.
Oversee weekly cycle stock counts.
Assist with USA payroll schedule.
Assist with liaison with auditors
Now Now, W-Café, Uber Eats, and Mr D customer accounts. To monitor current procedures and the full reporting these customers. · Understand the accounting process of the accounts receivables transactions into the the customer subledger accounts. · To reconcile the Now Now, W-Café, Mr D and Uber Eats customers transactions timeously apply cash accurately to the customer accounts. · Identify and resolve payment queries timeously all sales invoices are raised to the customer account weekly, based on the amounts extracted from the
/>Budgeting and Forecasting
Cost Control
Accounts Payable and Receivable
Financial Analysis
Media has an exciting opportunity for a financial accountant, who will be responsible for ensuring the smooth will be responsible for: Accounting and financial reporting Full accounting function up to trial balance balance Compile management accounts and CNI Reports Prepare month-end files with supporting documentation external auditors Adjust journal entries and accounting for provisions Reconcile intercompany loans Process payments onto the banking system Resolve any accounting discrepancies and irregularities SARS requirements