candidates in Gauteng only) R25 000 to R30 000 a month CTC Permanent A Travel Retail Software company is and efficient accounting systems and controls Monthly reconciliation of all general ledger accounts Review reconciliation Completion of VAT, tax, and royalty returns Monthly reconciliations of all accounts Reconciliation internal audit planning Preparation of weekly and monthly reports for senior management Daily review of sales contacted due to volume. Privacy: Data processed as per Privacy Policy. By applying, you agree to data handling
English and Afrikaans Remuneration: Up R1.3M C.T.C. per annum (negotiable) Remuneration: JHB North To apply accept that you did not qualify for this position. As per the POPI Act your information will be deleted. South South African citizens only. Up to R1.3M C.T.C. per annum (negotiable)
English and Afrikaans Remuneration: Up R1.3M C.T.C. per annum (negotiable) Remuneration: JHB North To apply accept that you did not qualify for this position. As per the POPI Act your information will be deleted. South South African citizens only. Up to R1.3M C.T.C. per annum (negotiable)
that assets are adequately verified/transferred as per the agreed verification process. Evaluating the Assets with required information relating to the the monthly and quarterly exco and board packs, and other financial
that assets are adequately verified/transferred as per the agreed verification process. Evaluating the Assets with required information relating to the the monthly and quarterly exco and board packs, and other financial
comprehensively review policies (minimum of 3 client meetings per day).
the client
potential. With the opportunity to earn up to R70000 per month, you can achieve financial freedom and enjoy the
> To ensure account meets its income targets as per set budget
accurate loading of standard cost and list price per product from vendor and to trade. Automation and inputs/keys/drivers etc to enhance quality and efficiency. Monthly/Quarterly review of variances with key stakeholders with Commercial Teams to oversee and manage their monthly expenditures. Working with the Account teams to accurate preparation and posting of month-end journals. Ensure all month-end closing activities including accurately. Ensure timeous and accurate completion of monthly and ad-hoc reporting. Implement/upgrade and maintain