(not limited to): Reconciliations and reporting Bank allocations General ledgers Invoices and journals contact: Jana Coetzee on 012 348 4940 Recruitment Consultant: Junior Finance and General Finance R 216000
(not limited to): Reconciliations and reporting Bank allocations (Preferred) Posting on non-stock suppliers contact: Jana Coetzee on 012 348 4940 Recruitment Consultant: Junior Finance and General Finance R 150000
(not limited to): Reconciliations and reporting Bank allocations (Preferred) Posting on non-stock suppliers contact: Jana Coetzee on 012 348 4940 Recruitment Consultant: Junior Finance and General Finance R 150000
accounting expertise Strong Excel proficiency Banking exposure beneficial APPLY NOW If you are interested der Colff on 012 348 4940 Executive Recruitment Consultant: Chartered Accountants, CIMA and General Finance
accounting expertise Strong Excel proficiency Banking exposure beneficial APPLY NOW If you are interested der Colff on 012 348 4940 Executive Recruitment Consultant: Chartered Accountants, CIMA and General Finance
difference? A leading organization in the services/ consulting space is recruiting for a Newly qualified CA(SA) Implementation and improvement of financial processes Internal controls Financial reporting Annual financial information, contact: Eshana Sewraj-Ramshat Executive Consultant R 650000 - R 750000
difference? A leading organization in the services/ consulting space is recruiting for a Newly qualified CA(SA) Implementation and improvement of financial processes Internal controls Financial reporting Annual financial information, contact: Eshana Sewraj-Ramshat Executive Consultant R 650000 - R 750000
follow-up on outstanding invoices. Bank Reconciliation: Perform regular bank reconciliations to ensure accurate Communication: Liaise with vendors, clients, and internal departments to resolve any financial queries.
queries, both internal and external, and conducting reconciliations when necessary. Processing bank, card, and client information in finance systems, including bank and VAT details. Conducting periodic lease audits
queries, both internal and external, and conducting reconciliations when necessary. Processing bank, card, and client information in finance systems, including bank and VAT details. Conducting periodic lease audits