Financial Accountant needed in a Corporate Firm based in Menlyn. Daily Log into Std Bank and Send Bank Journals Process the Cashbook (Std Bank Current Account) Reconcile Cashbook Update Selling Prices as needed Weekly Sales Report Once a month General Loan Account Recons Depreciation Journal Interest Journal - White Wing Loan accounts Recon and Pay Local Suppliers with whom we have 30 day accounts Break Down Fleet Fleet account for processing Break Down Std Bank CC for processing Do a margin exercise and update Sales
advances and driving their adoption. Request and Coordinate New Versions of Analysis for Office WUSS packages support of (new) business processes. Action and coordinate CM (Change Management) tasks and tickets as required evenings) Coordinate and Support SAP Basis team with issues and during upgrades. Coordinate with Application
and driving their adoption.
Duties would include: Processing accounts to Trial Balance Processing YE journals Payroll Statutory returns returns Draft Management Accounts General Administration Job Requirements: Pastel – working knowledge experience in a similar role Sound knowledge of accounting principals Able to process from various sources
area. ROLE: You will be responsible for the coordination of the technical implementation as well as the
Product owner to shape the Product roadmap
the Product owner to shape the Product roadmap Coordination between development and support environments
ong>Duties:
Operations (2nd and 3rd Level) Steering and coordination between the various teams. Important: A clear
someone with great Qualifications and general Accounting type of role wanting to move into a different Education and Qualifications: BCom Degree in Accounting, Finance, or relevant field Matric or equivalent