management - internal / domestic and foreign currency accounts Collect bank statements Daily reconciliation Resolve have: Matric 1 - 5 years' relevant experience in account reconciliation - foreign currency / domestic Computer management - internal / domestic and foreign currency accounts Collect bank statements Daily reconciliation Resolve have: Matric 1 - 5 years' relevant experience in account reconciliation - foreign currency / domestic Computer
communicator with in-depth knowledge of financial accounting and Treasury processes? Join our dynamic team in financial accounting and Treasury processes: - Bank Statement Processing - Bank Account Management - ce: - BCOM in Accounting - Postgraduate degree or certification - Chartered Accountant or MBA (advantageous)
interactions regarding invoice corrections and account queries. Generate EFT requests per payment terms required. Conduct monthly reconciliation of supplier accounts. Loading of local and foreign supplier payments telephone, cell phone accounts, credit card statements, and general ledger accounts. Timely reporting of closing process and preparing the monthly management accounts and revisions. Create and keep excellent filling
who will be working on wholesale and independent accounts. The purpose of this position will be to ensure Ledger Allocating all processed credits to the account on a weekly basis Ensuring that customers receive customer payments and transferring them to a rebate account as per the agreed Trade Agreement and specifications Whenever possible, liaising with customers to resolve account problems before implementing 'stop supply' instructions instructions Advising customers when their account has been blocked and ensuring all relevant internal departments
Aerospace industry and are currently looking for an Accountant or Bookeeper to Balance Sheet to do extensive
/>Tertiary Qualifications in Bookkeeping or Accountating
4-5 years extensive experience in Balance
management - internal / domestic and foreign currency accounts
pivotal role in delivering exceptional audit and accounting services to a diverse clientele.accounting assignments. This role primarily involves audit work, with some accounting tasks and comprehensive file for review, which includes drafted accounts and tax computations, approved audit programs Requirements:
preparation of accounting reconciliations and resolving of reconciling items in relevant accounting process
managerial role
managerial role