Accountant, East London, Eastern Cape. Company Name:TBA. We are a Civil Construction business operating the Eastern Cape and KZN and are looking for an Accountant to join our East London team. Working Knowledge Sound knowledge of financial statements and accounting. Assist the Finance Manager and other senior Minimum Requirements: Matric. Degree/Diploma in Accounting. 2 years of experience in a finance department to detail. Advanced knowledge of MS Excel and accounting software. An Important Announcement from (jobscoin
establish research programmes.
- Supervise all levels of postgraduate students and host post-doctoral
duties at Departmental, Faculty and University levels.
Desired Experience & Qualification
/>- Registration with a relevant professional accounting body
- At least 9 years' experience
postgraduate teaching and research experience in Accounting
- A track record of international and national
academic standing at national and international levels
- Evidence of academic leadership and mentorship
establish research programmes
- Supervise all levels of postgraduate students and host post-doctoral
duties at Departmental, Faculty and University levels.
Desired Experience & Q
/>- Registration with a relevant professional accounting body
- At least 7 years' experience
postgraduate teaching and research experience in Accounting
- A track record of international and national
academic standing at national and/or international levels
- Evidence of academic leadership and mentorship
Degree in Accounting (Minimum). SAICA Articles completed (Minimum). Honours in Accounting (Advantageous) management accounts. Review junior staff journal entries and prepare other monthly journal entries for the Financial Manager to review. Prepare year end journal entries and financial statements in accordance with IFRS requirements and Companies Act. Prepare management accounts based on final trial balance. Assist with the
Degree in Accounting (Minimum). SAICA Articles completed (Minimum). Honours in Accounting (Advantageous) management accounts. Review junior staff journal entries and prepare other monthly journal entries for the Financial Manager to review. Prepare year end journal entries and financial statements in accordance with IFRS requirements and Companies Act. Prepare management accounts based on final trial balance. Assist with the
are monthly management accounts.
communication skills at all levels in English – works closely with the Accountant, Finance Manager, Creditors reconciliation. Reimbursing, capturing, recording staff accounts support. Monitoring the bank balances. Perform month-end reconciliation on the debtors clearing accounts (Cash, card and other). Bank and petty cash. WHT Inter-company: Loan account reconciliations. Prepare of general journal entries. Prepare balance sheet allowance payments. Perform the payroll journal entries to ensure cost to company has been recorded. Understanding
transactions to be uploaded. All accounts to sweep into main account daily. Map all the unmapped transactions reconciliations. Allocate petty cash/credit card to staff accounts. Petty Cash reimbursements (Stores). Perform morning sheet for your market. Transfer funds between accounts as needed. Review the petty cash reconciliation reconciliations; Loan account reconciliations. Prepare of general journal entries including accruals. Prepare place. Payroll journal entry into system; Payroll reconciliation including B/S accounts. Getting the supplier