Reference: JHB001547-MS-1 Job Title : Payroll Specialist Purpose of the Job: The Payroll Specialist is responsible for overseeing the payroll processes. This role involves managing the accurate and timely processing of payroll, ensuring compliance with relevant laws and regulations, and providing qu
Our client in the Property Industry requires the services of an accurate Assistant Debtors Clerk to process and monitor incoming payments, and securing revenue by verifying and posting receipts. Key performance areas: Managing client account details Confirmation of correct PO numbers for facilities
accounts payable and accounts receivable, processing invoices, reconciling bank statements, and tracking
and review year-end reporting accounting and Tax Packs. Manage banking systems (users, passwords, profiles
A medium-sized firm of Chartered Accountants in the southern suburbs of Cape Town has an opportunity for an organised and confident Bookkeeper to join their in - house Finance team, preparing the firm's accounts. Responsibilities include but not limited to (could include other areas of financial man
A position has opened up with our client based in Kenilworth, Cape Town for an experienced Pastel Accountant that they are looking to fill urgently. Responsibilities include but not limited to (could include other areas of financial management in the future as the position evolves): Responsible for
Key responsibilities will include ensuring the accuracy, validity and completeness of management and financial accounting, analysis, budgeting, reporting and ensuring that all corporate, accounting, fiscal and regulatory requirements and deadlines are met and all records are maintained. Preparing an
Client liaison. Monthly accounting and processing up to trail balance. Monthly bank reconciliations. Monthly
Client liaison. Monthly accounting and processing up to trail balance. Monthly bank reconciliations. Monthly
The primary focus of the Cashbook Teamleader / Settlements Lead is the daily reconciliation of retail store receipts and maintenance of the cash and bank function which includes reconciliation and accounting for all retail store receipts (cash deposits, credit card and other) and dealing with reconc