Responsibility for monthly financial reporting process, including management of month end procedures & review accounts Key contact with Bank on all Banking relations issues and authorization of bank payments Preparation Preparation of all foreign bank payments and book and maintain the monthly FEC (Foreign exchange contracts), resolve resolve all reserve bank enquiries with the Bank for foreign payments Review of all production process (US GAAP vs SA GAAP), ensure tax compliance, including completion and filing of provisional tax returns
Duties include:
Description Duties include: Processing supplier invoices Reconciling daily sales and banking Reconciling supplier and administration Processing payments on online banking
ity for monthly financial reporting process, including management of month end procedures & review accounts
assist the department with monthly close, billing, bank reconciliation and performs various functions in and depreciation schedules. Daily activities including but not limited to recording cost of an organization’s process vendor payments, record & reconcile bank accounts, reconciliation of intercompany accounts of monthly invoices
Industry. REQUIREMENTS, EXPERIENCE AND QUALIFICATIONS/TRAINING SAGE Evolution accounting or Pastel Partner (recent) successful candidates will be responsible for, including, but not limited to the following: All processing debtors and creditors Submission of VAT201s (including calculation and reconciliation) Submission of Accurate financial reporting & analysis All bank related activities Monthly Creditors Reconciliations proficiency Verbal & written communication (including presentation) Leading by example Motivating people
Industry. REQUIREMENTS, EXPERIENCE AND QUALIFICATIONS/TRAINING SAGE Evolution accounting or Pastel Partner (recent) successful candidates will be responsible for, including, but not limited to the following: All processing debtors and creditors Submission of VAT201s (including calculation and reconciliation) Submission of Accurate financial reporting & analysis All bank related activities Monthly Creditors Reconciliations proficiency Verbal & written communication (including presentation) Leading by example Motivating people
REQUIREMENTS, EXPERIENCE AND QUALIFICATIONS/TRAINING
supervise and train junior and intermediate accountants. The Senior Accountants duties will include: Supervise receipts, sales invoices, purchase invoices. Perform bank reconciliations. Processing and reconciling of Petty paper file according to the standards per the training file for sole proprietors, close corporations
supervise and train junior and intermediate accountants. The Senior Accountants duties will include: Supervise receipts, sales invoices, purchase invoices. Perform bank reconciliations. Processing and reconciling of Petty paper file according to the standards per the training file for sole proprietors, close corporations