Calling all Newly Qualified CA(SA)s Duties: Preparing audit files Reconciliations (Balance sheet) Tax preparation post articles experience (minimum) Experience auditing Financial Services CaseWare and Sage Evolution
Calling all Newly Qualified CA(SA)s Duties: Preparing audit files Reconciliations (Balance sheet) Tax preparation post articles experience (minimum) Experience auditing Financial Services CaseWare and Sage Evolution
Calling all Newly Qualified CA(SA)s Duties: Preparing audit files Reconciliations (Balance sheet) Tax preparation post articles experience (minimum) Experience auditing Financial Services CaseWare and Sage Evolution
Calling all Newly Qualified CA(SA)s Duties: Preparing audit files Reconciliations (Balance sheet) Tax preparation post articles experience (minimum) Experience auditing Financial Services CaseWare and Sage Evolution
focus on the aviation industry. This opportunity presents a distinctive prospect to contribute to ongoing financial integrity. Engaging with auditors during audits and providing necessary documentation and assistance
focus on the aviation industry. This opportunity presents a distinctive prospect to contribute to ongoing financial integrity. Engaging with auditors during audits and providing necessary documentation and assistance
payment terms and manage disputes Prepare and present KPIs in relation to O2C Accountable for accurate projects Provide input for internal and external audits Promote process improvements and compliance across
payment terms and manage disputes Prepare and present KPIs in relation to O2C Accountable for accurate projects Provide input for internal and external audits Promote process improvements and compliance across
payment terms and manage disputes Prepare and present KPIs in relation to P2P Collaborate on projects projects Provide input for internal and external audits Accountable for trade creditors and statement reconciliations
payment terms and manage disputes Prepare and present KPIs in relation to P2P Collaborate on projects projects Provide input for internal and external audits Accountable for trade creditors and statement reconciliations