Knowledge, Skills & Abilities:
Required Knowledge, Skills & Abilities: In-depth knowledge of banking operations (Domestic & International
Required Knowledge, Skills & Abilities: In-depth knowledge of banking operations (Domestic & International
You will be running the full financial function and team. Some of the duties include budgeting, forecasting, and cashflow management. The role is operational and forms part of the senior management team.
Skills & Experience:
Detail orientated
Solutio
An industrial property management and leasing Company is looking for a Bookkeeper that is highly proficient and experienced in Financial Accounting and Management. Prepare financial statements and reports, including the profit and loss statement and balance sheet Pay invoices and maintain ledgers As
Reference: NFU011425-Matt-1 Are you a financial accountant seeking a new opportunity? Job Description: A leading manufacturer of construction and mining equipment, known for innovation, quality, and local market expertise is seeking a seasoned accountant to join their team. The ideal candidate is an
Reference: NFU011425-Matt-1 Are you a financial accountant seeking a new opportunity? Job Description: A leading manufacturer of construction and mining equipment, known for innovation, quality, and local market expertise is seeking a seasoned accountant to join their team. The ideal candidate is an
RedCat Recruitment is seeking a SENIOR BOOKKEEPER for a well-established, growing concern, position based in the Wartburg area, KwaZulu-Natal. Person must be able to start immediately REQUIREMENTS Grade 12. Relevant qualification advantageous. Valid driver’s license / own reliable vehicle. Person
Job Description:
As the Group Financial Manager, you will be responsible for the following duties:
Consolidate management accounts on a monthly basis
Review monthly financial results with operational management
Prepare annual consolidation pack
Draft a
Your responsibility will include but is not limited to:
Supervise accounts payable and receivable, promptly resolving discrepancies in reconciliations
Authorize payments, validate documentation, and oversee month-end bank reconciliations
Scrutinize intercompany transactions and