following: Posting of journals. Preparation of standard journal entries in line with policy and procedure Balance Sheet account reconciliation (including bank accounts) completion in a timely manner, highlighting Completion of standard financial controls. Month end and yearend activities. Reporting: Including standard month into the finance systems. Contribute to the wider centre, supporting other team members as needed to help help ensure the continued success of our centre. Contribute to the identification and deployment of continuous
following: Posting of journals. Preparation of standard journal entries in line with policy and procedure Balance Sheet account reconciliation (including bank accounts) completion in a timely manner, highlighting Completion of standard financial controls. Month end and yearend activities. Reporting: Including standard month into the finance systems. Contribute to the wider centre, supporting other team members as needed to help help ensure the continued success of our centre. Contribute to the identification and deployment of continuous
terms of accounting standards & principles. Maintaining & improving standards work and any other Recon of Cashup cashbook vs trial balance Banking importing all bank transactions & performing allocations & transaction check in accordance with above Bank statements saved daily Please visit our website opportunities in Finance For more information, please call Loma Zwane on 011 318 2101 R 350 000 - R 420 000
with the full financial functions related to the banking industry? If you are ready to make your next career experience in a similar role Previous experience in the Banking Industry (advantageous) Technical accounting experience opportunities in Finance For more information, please call Kyla McBride. If you have not had any response from
Creditors invoicing Preparing payments VAT and Tax Bank reconciliations Petty cash management Credit collection opportunities in finance For more information, please call Siphokazi Dlamini on 011 318 2101 or email: sdlaminicommunicate
professional in credit risk management within the banking sector? Our client is a JSE listed conglomerate stakeholder relationships to uphold credit risk standards. Collaborate with divisional teams, conduct fieldwork opportunities in Finance For more information, please call Kyla McBride on 011 318 2101 R 1 000 000 - R 1 200
reporting and systems standards Performing cashbook duties, including daily banking transaction imports manually recording non-trade bank transactions, while liaising with the bank for administrative needs such requests/cancellations, forex banking issues, password management, FICA compliance, and bank confirmation certificates
reporting and systems standards Performing cashbook duties, including daily banking transaction imports manually recording non-trade bank transactions, while liaising with the bank for administrative needs such requests/cancellations, forex banking issues, password management, FICA compliance, and bank confirmation certificates
description: Preparing financial reports and statements Bank reconciliations Conducting cyclical audits for Property opportunities in Finance For more information, please call Siphokazi Dlamini on 011 318 2101. R 500 000 - R
Handled books valued at R300 million Job description: Bank reconciliation Maintaining customer Age analysis opportunities in Finance For more information, please call Siphokazi Dlamini on 011 318 2101. R 200 000 - R