/>The primary tasks of the Assistant Accountant entail preparing financial reports and conducting
should possess a strong
understanding of accounting principles, be proficient in working with numbers
success.
Role: Assistant Accountant
Location: Durban
/>Qualification:
Purpose of the Role: The primary tasks of the Assistant Accountant entail preparing financial reports and conducting candidate should possess a strong understanding of accounting principles, be proficient in working with numbers success. Role : Assistant Accountant Location : Durban KZN Qualification: Degree in accounting, finance, or and an analytical acumen Good understanding of accounting and financial reporting principles and practices transactions are recorded Update accounts receivable and issue invoices Update accounts payable and perform reconciliations
Requirements:
for managing the company's tax compliance, tax planning, and tax risk management. This role involves all tax regulations and laws, optimizes tax efficiency, and mitigates risks associated with tax matters financial health of the company and ensuring that our tax practices align with our business objectives.
functioning of Compliance Function
- Assist the manager to ensure that the compliance function
function is in compliance with law, and industry and regulatory body requirements.
- Promote the prevention
operations in Compliance.
- Ensure that policies and procedures with regards to the Compliance function
specific forums as may be required to represent the Compliance and Regulatory Affairs department.
Responsible for Compliance
- Monitoring and Reporting
- Monitor compliance risk, policies
Our client is seeking a compliance specialist to join their Durban Office team. You should have a completed at least 2 years of working experience in Risk/Compliance management in the insurance sector. Responsibilities effective functioning of Compliance Function Assist the manager to ensure that the compliance function complies operations in Compliance. Ensure that policies and procedures with regard to the Compliance function are required to represent the Compliance and Regulatory Affairs department. Compliance Monitoring and Reporting
Our client in Durban is looking for a Assistant Accountant Post and process journal entries to ensure transactions are recorded Update accounts receivable and issue invoices Update accounts payable and perform reconciliations reconciliations Assist in the processing of balance sheets, income statements and other financial reports according to legal and company accounting and financial guidelines Assist with reviewing expenses, payroll weekly/monthly reports Prepare VAT recons & submissions Assist other bookkeepers in the preparation of monthly/yearly
Purpose of the Role: The primary tasks of the Assistant Accountant entail preparing financial reports and conducting candidate should possess a strong understanding of accounting principles, be proficient in working with numbers success. Role : Assistant Accountant Location : Durban KZN Qualification: Degree in accounting, finance, or and an analytical acumen Good understanding of accounting and financial reporting principles and practices transactions are recorded Update accounts receivable and issue invoices Update accounts payable and perform reconciliations
Junior Accounts Assistant, Morningside, Durban City. Company Name: Winsport Trading. Job Purpose: The The Junior Accounts Assistant will support the accounting department with their day-to-day operations, Responsibilities: Assist with bookkeeping practices and prepare financial documents. Manage accounts payable and Reconcile invoices and identify discrepancies. Assist in preparing balance sheets and income statements degree in Accounting, Finance, or related field. Understanding of basic bookkeeping and accounting payable/receivable
maintain accuracy of general ledger. Reconcile all accounts within required timeframe and prepare all monthly financial records and assist with the consolidation of financial statements. Ensure compliance to all regulations employees Administer and reconcile all system accounts on a monthly basis and manage all cash disbursement