Bookkeeping Bank Cash books capturing of all data and reconcile Petty cash books capturing of all data and reconcile
Analyse and report on company financial data (e.g., GP, cash flow, debtors, creditors) Support and guide Analyse and report on company financial data (e.g., GP, cash flow, debtors, creditors) Support and guide
Analyse and report on company financial data (e.g., GP, cash flow, debtors, creditors) Support and guide Analyse and report on company financial data (e.g., GP, cash flow, debtors, creditors) Support and guide
accurately and timeously Capturing of data Ensure that the cash office is run efficiently Manage daily
accurately and timeously Capturing of data Ensure that the cash office is run efficiently Manage daily
and timeously
teams to ensure system integration and data integrity. 5. Manage cash flow, working capital, and capital
Requirements: Bachelor of Accounting with Honours CA – 1-3 years post articles experience CIMA – 2-3 Years' experience BCOM Hons( Accounting) – 3-5 years' experience Skills/Physical Competencies Good knowledge of Microsoft Office (Word, Outlook) Advanced Excel Good knowledge of Pastel/similar
Reference: DBN002922-ZC-1 Our client is based in Parktown Gauteng and has a vacancy for a senior Account. The individual will play a key role in ensuring the accuracy and integrity of financial transactions, maintaining compliance with accounting standards, and contributing to the overall financial
Key Responsibilities: Financial Planning: Develop and maintain financial policies and procedures to ensure regulatory compliance and best practices. Budgeting and Forecasting: Create and monitor annual budgets and forecasts, providing regular updates to senior management. Financial Reporting: Prepar