Sector in Robertson, WC, has an opportunity for an Accountant to join their team. Completion of and maintaining as required. • Monthly group divisional management accounts. • Yearly budget preparations. • Preparation • Ad hoc accounting dutie Minimum of a completed tertiary qualification (BCom Accounting) • Completed
Requirements:
CPT003555-Del-1 Opportunity for a deadline driven Accountant with excellent financial knowledge including will be advantageous in running and maintaining accounts. A confident communicator, natural problem solver EE candidate requirement. REQUIREMENTS Matric, Accounting degree (B. Com/ B. Compt or similar) Completed advantageous Good Accounting knowledge including IFRS, Tax and VAT Knowledge of relevant IT/Accounting systems (Read, write, and speak) DUTIES Run and maintain accounting up to trial balance stage: Recording of day-to-day
divisions to Cape Town. We require experience Fund Accountants who are currently working in the employee benefits further Finance jobs, Accountant jobs, Financial Manager vacancies and Management Accountant vacancies. If you
major accounting firm based in the Western Cape is looking to fill a posistion for a Accountant. • Supervise processing of client information cheques, receipts, sales invoices, purchase invoices • Perform bank reconciliations and reconciling of Petty Cash and cash control accounts • Keeping of a fixed asset register • General etc. • Process journal entries e.g. new instalment sale agreements, interest on borrowings, provisions, Reconcile debtors and creditors statements. • Correct accounting treatment on disposal of assets (property, plant
opportunity for a well rounded Sales Manager to manage an already established Sales Team. The Engineering Manufacturer The Sales Manager will be managing a Sales Team of 3 external experienced Sales Reps Each Sales Rep requires week Supporting the Sales Reps (meeting customers, visiting customers with the Sales Reps, assisting with on quotes, encouraging Sales Reps) every week or as required The Sales Manager will be positioning the the important House Accounts Sales Manager will report to the MD Grade 12 plus Sales / Project Certificate
the Tourism Industry is looking for a Financial Accountant for their branch in Cape Town Reporting Bi-Weekly analysis to be forwarded to HOF and department managers with reasons for amounts being overdue (target: Creditors and Debtors team Drive efficiencies and accountability Assisting with statutory audit and Head Office basis and escalate any issues to the relevant manager Check correct VAT treatment of invoices sent to Treasury Prepare reconciliations for all bank accounts on a weekly basis and send to HOF for review Reconcile
supplier account) reconciliations Month-end journals and reporting Compiling month-end management packs packs Analyse GL accounts Preparation of monthly VAT returns Prepare, review, submit and liaise with auditors Senior Accountant and CFO where needed Requirements: BCom Accounting, Diploma in Finance/ Accounting or similar industry will be beneficial Working knowledge on accounting software such as Pastel, Sage, Xero or the like understanding of basic accounting principles and procedures Proficient in using accounting software and Excel
Junior Accountant is responsible for assisting the Financial Manager in performing the Accounts payable ensuring compliance with accounting principles. Financial Transactions Full Accounts payable function – capture thereoff Assist the Financial Manager with the review of control account reconciliations Assist in the financial data Provide support to the Financial Manager and other team members as needed Month-end Processes degree/diploma in Accounting or Finance 1-2 years of relevant experience in accounting or finance Proficiency
Southern Suburbs of Cape Town is looking for an Accountant to join their team. The company focuses on venture prosperity for investors and entrepreneurs. As the Accountant , you will be working with a close-knit team Responsibilities : ● Monthly cash book processing, reconcile accounting transactions for four companies. ● Prepare and to companies and shareholders. ● Reconcile loan accounts with companies on a quarterly basis. ● Assist statements. ● Reconciliation of share register to accounts. ● Assist with performing valuations of investments