return via SARS E-filing. Liaise with banks regarding all banking matters Complete SARS documents as required Assist Finance Manager with review of insurance, banking, auditing and agreements/functions needing Board with department heads. Identify re-occurring costs in collaboration with department heads. Offer guidance/assistance guidance/assistance to the department heads in managing budgets. Manage and oversee budget utilisation. Monitor flag outliers. Discuss outliers with department heads for correction. Prepare expense accounts, send them
reconciliations Daily online domestic banking International banking Preparation of monthly general ledger information required for WSP submissions Reporting to head office, daily, weekly, monthly, quarterly and year-end submission of bi-annual and annual tax packs to head office Insurance requirements and claims Requirements:
provide quality education from Grade R – 12. Our head office is situated in Johannesburg where two schools are based. Other schools are around Johannesburg. Bank processing and reconciliation on a daily basis.
Cashier and Banking functions. Monitor and control issuing, reconciliation, and re-banking of S&T with Senior Management, Business Unit Departments, Head Office, Internal and external auditors, Debtors Debtors, Creditors, Outsourced service providers, Banks. Credit control, collection of outstanding debtors (internal
Evolution is an advantage Responsibilities: Cashbooks, bank reconciliations, and allocation of deposits. Invoicing payments on Standard Bank's business online payments. Process debit order collections on Standard Bank's business
collection procedures and managing bookings in terms of standard terms and conditions. Performing reconciliations etc o Bookings modified after departure date o Bank reconciliation of Collections account o Credit card Providing additional information for refund payments to banks and treasury as required o Preparing confirmation • Support response for information requests from Head Office Treasury with 24 hour-turn-around time • control requirements: o Submit required documents to banks for exchange control requirements o Prepare information
with the Financial manager and will be joining the Head Office team for several stores across Gauteng. Maintain several bank statements. Overseeing and processing of Daily cash ups for several stores from our Head office
looking to employ an experienced Bookkeeper at their Head office located in Centurion. Capturing invoices to the main statement. Loading the payment on the bank. Performing any other reasonable duty as required
objectives of the business in collaboration with the Head Coverage whilst being accountable for deal origination clients to position Organisation as the ‘go-to' Bank for infrastructure development opportunities. Continuously and collaborate with the Bank's internal network to ensure that the entire Bank's relevant expertise is clients, global and regional private investors, and banks to identify and source viable projects/investments
SAP Support Specialist , based at Life Healthcare Head Office in Dunkeld , reporting to the Global SAP application. Critical Outputs: Oversee output standards required for support in Finance, Non-Pharmaceutical Initiatives. Adhere to master data standards and standardization of processes. Provide support guides