monthly/yearly closings Assist with other accounting projects Bank reconciliations for Local and foreign currency BCom software such as Pastel Accounting Must be able to do bank reconciliations for Local and foreign currency
Financial Accountant. Management of the creditors, banking, funds, fixed assets and payroll • Assist in annual on time • Responsible for drafting Policies and Standard Operating Procedures • Manage staff and review
Knowledge of: Credit Risk Management Retail or Banking Credit Industry National Credit Act (NCA) Debt experience in Debt Review, credit collections, or banking environment
Knowledge of: Credit Risk Management Retail or Banking Credit Industry National Credit Act (NCA) Debt experience in a Debt Review credit collections/banking environment. 2 years of experience managing a team
Knowledge of: Credit Risk Management Retail or Banking Credit Industry National Credit Act (NCA) Debt experience in Debt Review, credit collections, or banking environment
be posted at month end Ensure capturing of trust bank accounts into Sage Ensure trust reconciliations monthly and quarterly management accounts Daily bank balance reporting Payroll management Ensure all
principles and practices, the financial markets, banking and the analysis and reporting of financial data
principles and practices, the financial markets, banking and the analysis and reporting of financial data
internal audit work as assigned in line with the standards and methodologies set by IAS.
the reconciliation process. Upload and allocate bank entries to Cashbooks. Monthly reconciling of Cashbooks