Main purpose of the job: The individual will be registered under the SAIPA trainee program and obtain competencies as required by SAIPA in line with the applicable academic graduate program for SAIPA trainees. Key responsibilities: Preparation and completion of monthly management accounts Preparatio
collections on behalf of the company in French speaking African countries. The role will by hybrid, 3 days on site collections/debtors' functions including but not limited to: Make collection calls on past due customer Escalate issues to management. Month end reporting. Banking allocations/remittances. Reconciliations of customer
accounting system. Handle cashbook entries and complete bank reconciliations. Check the accuracy of expense claims all tax invoices to ensure compliance with South African Revenue Service's requirements. Maintain an efficient supplier and debtor invoices, cashbook entries, and bank reconciliations. Ability to provide accurate financial financial analyses and reports. Familiarity with South African Revenue Service's tax invoice requirements. Excellent
accounting system. Handle cashbook entries and complete bank reconciliations. Check the accuracy of expense claims all tax invoices to ensure compliance with South African Revenue Service's requirements. Maintain an efficient supplier and debtor invoices, cashbook entries, and bank reconciliations. Ability to provide accurate financial financial analyses and reports. Familiarity with South African Revenue Service's tax invoice requirements. Excellent
collections/debtors' functions including but not limited to: Make collection calls on past due customer Escalate issues to management. Month end reporting. Banking allocations/remittances. Reconciliations of customer
collections/debtors' functions including but not limited to: Make collection calls on past due customer Escalate issues to management. Month end reporting. Banking allocations/remittances. Reconciliations of customer
description:
Duties will include but are not limited to:
Responsibilities include but is not limited to: Cashbook Processing (Local/Foreign) Bank Reconciliations (Local/Foreign)
Job description: Duties will include but are not limited to: Prepare monthly, quarterly and annual financial compliance with tax regulations Perform recons of bank statements and other accounts to ensure accuracy
Job description: Duties will include but are not limited to: Prepare monthly, quarterly and annual financial compliance with tax regulations Perform recons of bank statements and other accounts to ensure accuracy