management - internal / domestic and foreign currency accounts
Engineer is an advanced subject matter expert, accountable for designing, developing, and testing software or internet-related tools. This role takes accountability for detailed design for certain modules/sub-systems and providing support Executing the required changes through configuration Executing the analysis and resolution
in similar role
Strong understanding of accounting principles
Strong attention to detail
National Senior Certificate (Matric)
Diploma in Accounting, Finance or related field highly advantageous
term contract position available for a Chartered Accountant at its corporate office based in Wellington. the Company including drafting of the required accounting entries. Calculate the expected credit loss provision support. REQUIREMENTS: Qualified CA(SA) │ Chartered Accountant Computer literacy with Excel advanced level Previous
term contract position available for a Chartered Accountant at its corporate office based in Wellington. the Company including drafting of the required accounting entries. Calculate the expected credit loss provision support. REQUIREMENTS: Qualified CA(SA) │ Chartered Accountant Computer literacy with Excel advanced level Previous
specifications for custom developments.
expert for configuring and enhancing SAP Financial Accounting (FI). You'll collaborate with a dynamic team Do: - Configure and enhance the SAP Financial Accounting (FI) module - Document as-is and to-be business - SAP Certification and a Bachelor's in IT or Accounting - 6 years of SAP experience - Experience with
collect and share information with the related account managers. Key Performance Outputs: Commercial Viability: close relationship with the relevant key account and account managers Establish, monitor and manage healthy
collect and share information with the related account managers. Key Performance Outputs: Commercial Viability: close relationship with the relevant key account and account managers Establish, monitor and manage healthy
portfolio of foreign currency, domestic and internal accounts. Also ensure that all bank statements have been portfolio of foreign currency, domestic and internal accounts. Ensure that all bank statements have been received settlement systems. Perform daily reconciliation of the accounts. Conduct a thorough and complete investigation