qualification in finance or accounting
A finance individual with above average microsoft excel skills is required. Requirements: Matric Tertiary on qualifications and experience. The post Finance Clerk appeared first on freerecruit.co.za .
Requirements:
SAIPA articles
No experience required.
Afrikaans culture within their environment
Own car & Vehicle preferable.
Enticing points for candidates:
They will receive excellent financial exposure compared to other firms and not only financials, b
currently seeking a detail-oriented and organized Finance Clerk to join our administrative team. The successful
and legal documents
Reference: PRS000252-JD-1 Position : Bond Stores clerk Number of positions: 1 Location : Prospecton Industry financial and legal documents Further studies in finance, accounting, supply chain management, or logistics experience in a similar role, especially in a bond store or warehouse environment is required. Understanding customs and excise regulations related to bond stores. How to Apply: Please submit a Word or PDF version
professional, computer literate individual with a Finance or Accounting qualification and some Administration
and save cashbook payments. General filing of finance documents and records. Assist in capturing cashbook as needed. Assist the Cashbook Controller and Finance Managers as required. Archive documents and provide
SAIPA Finance Clerk - Gauteng SPECIFICATION To ensure that the outstanding debt is collected effectively statements and remittance advices received, including stores Complete New account check list for all new accounts circles Monthly reconciliations performed between store age analysis and cash received and processed Ensuring master data. Stores petty cash reconciliations performed by 6th day of each month Stores stock count variances variances calculated and processed on monthly basis Stores daily sales updates, assistance with promotional
SAIPA Finance Clerk - Gauteng SPECIFICATION To ensure that the outstanding debt is collected effectively statements and remittance advices received, including stores Complete New account check list for all new accounts circles Monthly reconciliations performed between store age analysis and cash received and processed Ensuring master data. Stores petty cash reconciliations performed by 6th day of each month Stores stock count variances variances calculated and processed on monthly basis Stores daily sales updates, assistance with promotional