accurate allocation to accounts Investigate and rectify discrepancies in accounts Bank transactions Daily Daily reconciliation of bank statements and accounts Cashbook management Education Requirements: Completed
accurate allocation to accounts Investigate and rectify discrepancies in accounts Bank transactions Daily Daily reconciliation of bank statements and accounts Cashbook management Education Requirements: Completed
Oversee daily financial operations, including accounting and maintenance of general ledger / trial balance Recommend enhancements and strengthening for accounting systems and internal controls Ensure financial
Oversee daily financial operations, including accounting and maintenance of general ledger / trial balance Recommend enhancements and strengthening for accounting systems and internal controls Ensure financial
Oversee daily financial operations, including accounting and maintenance of general ledger / trial balance Recommend enhancements and strengthening for accounting systems and internal controls Ensure financial Elzette Hood Recruitment Specialist: Chartered Accountants and General Finance 012 348 4940 R 900000 - R
Oversee daily financial operations, including accounting and maintenance of general ledger / trial balance Recommend enhancements and strengthening for accounting systems and internal controls Ensure financial Elzette Hood Recruitment Specialist: Chartered Accountants and General Finance 012 348 4940 R 900000 - R
processing Statement reconciliations and validate account balances Payment run generation and reporting Urgent Understand compliance around transactional tax accounting Maintain Customer Master files Education: Relevant
be responsible for: Maintain Group Technical Accounting Policies Implementation of policies Maintain policies Develop a training programme for Technical Accounting Assist with month-end Assist with year-end audit
be responsible for: Maintain Group Technical Accounting Policies Implementation of policies Maintain policies Develop a training programme for Technical Accounting Assist with month-end Assist with year-end audit
processing Statement reconciliations and validate account balances Payment run generation and reporting Urgent Understand compliance around transactional tax accounting Maintain Customer Master files Education: Relevant