full of field and management opportunities, then we want to hear from you We believe that our people are
financial reporting and work closely with senior accountants or auditors to prepare financial statements, and being involved in auditing various client accounts and ensuring that the financial statements presented and processing financial transactions in the accounting system, ensuring accuracy and completeness of research and provide insights on financial and accounting matters
Client management- interact with trends and developments, including changes in accounting standards and tax laws
Ad hoc tasks - assist
will have immediate access to the status of your accounts to enable you to make crucial decisions as they ideal candidate will have basic knowledge of accounting principles, strong numerical skills, and a high reconciliations of bank statements, accounts receivable, and accounts payable. Assist in generating invoices understanding of accounting principles. Proficiency in MS Excel and other accounting software Strong numerical
und knowledge of accounting practices
Duties:
und knowledge of accounting practices
Duties:
und knowledge of accounting practices
Duties:
business unit, including Specialists, Engineers, Account Managers, Pricing Specialists, Technical Specialists overseeing a team of Specialists, Engineers, Account Managers, Pricing Specialists, Technical Specialists and administrative staff. This individual is accountable for all aspects of client service contracts, including end-user devices, IT support, Sales, Account Management, Project management and related services
prior to crediting invoices. Reconciling customer accounts- towards the accuracy of the debtor's book as documents timeously. Managing customer accounts and managing accounts for handover to the collection agents
R21 000 CTC Minimum requirements: Matric and an accounting diploma or degree Minimum 5 years' experience bookkeeper Working knowledge of Sage Evolution accounting software Working knowledge of MS Office (Excel transactions Posting journal entries to ledger accounts Preparing daily cash management reports Preparing