SARS queries and correspondence Review and sign off bank payments Review and sign off all transaction processing and Marine Insurance schedule Review and sign off Bank, Petty Cash and Creditors reconciliations Ensure
journals Review of the FAR Monthly review of bank statements and bank recons Oversee Year end stock take Review/design
Financial Accountant. Duties include but not limited to: Bank reconciliation VAT submission Cash flow management
and reconciling financial transactions · Managing Bank accounts, and handling payroll. Matric Bcom Accounting
Directory, Azure Active Directory, Office 365 (Exchange online, SharePoint, PowerApps, etc), VMware, Veeam
manufacturer, listed on both the JSE & London Stock Exchange, seeks your exceptional organisational skills
will be responsible for basic accounting tasks as a Bank Capturing Clerk and provide support in general administration capturing and administrative tasks. ACCOUNTING: Bank Capturing: Accurate and timely entry of financial
experience. Key Performance Areas: Perform bank reconciliations. Import bank statements and ensure accurate posting
payroll and maintain payroll information Verify banking records/accounts for all new employees Capture relevant documents Ensure employees provide correct banking details. Ensure employees fill out employee biographical
payroll and maintain payroll information Verify banking records/accounts for all new employees Capture relevant documents Ensure employees provide correct banking details. Ensure employees fill out employee biographical