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Absa Bank Head Office Jobs in Cape Town - Page 2

Jobs 11-20 of 108

Finance Manager Milnerton NEW

 West Coast PersonnelMilnerton

to measure FINANCIAL ADMINISTRATION 1. Check all bank accounts are balanced daily 2. Petty cash capturing annual audit 1. Bank recon balanced daily and at month end within 3 workings of Bank Statement. 2. Petty Ensure all journals are accurate and reviewed by Head of Finance by the 7th 8. To be done by 3rd of the documentation timeously to auditors DEBTORS 1. Manage Bank capturing of Receipts daily and petty cash receipts Debts outstanding 4. Manage Export procedures 1. Bank recon balanced – suspense accounts not exceeding


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Accountant Cape Town - Cbd NEW

 Dante Group Pty LtdCape Town City Centre

Responsible for managing several entities Process all bank statements, supplier and journal entries up to Trial monthly financial reports Process payments on online banking Process and reconcile supplier accounts Reconcile experience an advantage Proficiency in Excel and all Office software Fluent spoken and written English Accuracy


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Accountant NEW

 Dante Group Pty LtdCape Town City Centre

Responsible for managing several entities Process all bank statements, supplier and journal entries up to Trial monthly financial reports Process payments on online banking Process and reconcile supplier accounts Reconcile experience an advantage Proficiency in Excel and all Office software Fluent spoken and written English Accuracy


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Legal Counsel: Corporate NEW

 Time PersonnelCape Town City Centre

an Associate or legal advisor Must have good MS Office, MS Word, MS Excel, and PowerPoint skills Experience responsibility on the legal due diligence. Supporting the Head of Development in procuring new project companies required by the group. Supporting the Head of Finance and the Head of Corporate Investment Finance with


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Legal Counsel Cpt - Cbd NEW

 Time PersonnelCape Town City Centre

an Associate or legal advisor Must have good MS Office, MS Word, MS Excel, and PowerPoint skills Experience responsibility on the legal due diligence. Supporting the Head of Development in procuring new project companies required by the group. Supporting the Head of Finance and the Head of Corporate Investment Finance with


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Receiving Manager Cape Town NEW

 Spar GroupSouth Africa

to as the “Act”. The SPAR Group LTD, with its head offices at 22 Chancery Lane in Pinetown, is collecting the right to lodge a complaint via email with the office of the Information Regulator, at complaints.IRjustice us in the future including but not limited to, banking details, criminal history and credit reports /financial


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Receiving Manager NEW

 Spar GroupSouth Africa

to as the “Act”. The SPAR Group LTD, with its head offices at 22 Chancery Lane in Pinetown, is collecting the right to lodge a complaint via email with the office of the Information Regulator, at complaints.IRjustice us in the future including but not limited to, banking details, criminal history and credit reports /financial


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Branch Manager Parow Industrial, Cape Town, 7493, South Africa NEW

 Technogistics LtdBelhar

Samrand based head office. General management of the Cape Town branch in alignment with head office directives Logistics, or Entrepreneurship Advanced computer and MS Office skills Experience with inventory management systems


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Accounts Administrator (full-time) NEW

Cape Town City Centre

to)*:

Cash Books & Banking

  • Ensure daily processing of all bank transactions are processed according to month end deadline.
  • Prepare bank recon for bank accounts.
  • Maintain share drive folders folders with monthly statements and bank recons.
  • Assist with bank administration.
  • Download payment batches and load on the various online banking platforms across all entities.
  • Loading
  • Loading of beneficiaries onto the online banking platforms.
  • Ensure staff claims expenditure are accurately


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Accounts Administrator Cape Town, South Africa NEW

 O'brien RecruitmentCape Town Region

limited to): Cash Books & Banking Ensure daily processing of all bank transactions are processed in Prepare bank recon for bank accounts. Maintain share drive folders with monthly statements and bank recons recons. Assist with bank administration. Download of mixed payment report in line with IPP monthly deadlines online banking platforms across all entities. Loading of beneficiaries onto the online banking platforms necessary application forms or notifications to the bank for any changes including additional cards, cancellation


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