Requirements:
Must have Matric
Must have great Mathematical background knowledge and skills
Must be able to manage the staff in office / shop
Must have mining industry knowledge skills and experience
Salary R30 000 R40 000
monthly management accounts for companies and branches within the group.
Branch Accountant, Port Elizabeth, Eastern Cape. Company Name: Surgo HR & Training. Our client, a also have branches in Gauteng and the North West. They are recruiting for an experienced Branch Accountant controls. (Custodian of the internal controls for the branch). Understand the importance of relevance and the Responsible for the full management reporting pack of the branch (Income statement, Balance Sheet, and cash flow) where they come from. Safeguarding of assets at branch level. Character and Skills: High level of accountability
Branch and Store Manage (POS23175)
Roodepoort
R 18 000 to R 25 000 per
organisation requiring the skills of a highly proficient Branch Accountant to be based in Sandton to accurately monthly management accounts for companies and branches within the group. Account reconciliations. Processing analysed with explanations of all variances to the branch budgets. Ensuring that all ledger accounts are the underlying payroll system as well as inter-branch and/or inter-company recoveries. Preparation of ledger account number, but also to the correct branch. Accruals and provisions raised as required. Maintaining
Branch Manager Logistics
Witbank
Our Client, a leader in Logistics is seeking seeking to employ a Branch Manager at their Witbank branch
Duties, but not limited to:
Logistics is seeking to employ a Branch Manager at their Durban Branch
Duties, but not limited
to:
experienced Branch Admin Manager to manage and oversee all daily operations of the Branch to maximise
popular and established motor group is looking for a Branch Accountant with Motor Dealership experience for
organisation requiring the skills of a highly proficient Branch Accountant to be based in Sandton to accurately monthly management accounts for companies and branches within the group. Account reconciliations. Processing analysed with explanations of all variances to the branch budgets. Ensuring that all ledger accounts are the underlying payroll system as well as inter-branch and/or inter-company recoveries. Preparation of ledger account number, but also to the correct branch. Accruals and provisions raised as required. Maintaining