detailed records of financial transactions. Account Reconciliation: Reconcile bank statements and financial
detailed records of financial transactions. Account Reconciliation: Reconcile bank statements and financial
detailed records of financial transactions. Account Reconciliation: Reconcile bank statements and financial
detailed records of financial transactions. Account Reconciliation: Reconcile bank statements and financial
Reference: PTA000565-SM-1 A health care company in Somerset West is looking for a Assistant Bookkeeper to assist their team on a short term contract of 3 months. JOB DESCRIPTION: Full Creditors function Full Debtor function Bank account reconciliation B-BBEE Procurement Financial Assistant to Accoun
Reference: PTA000565-SM-1 A health care company in Somerset West is looking for a Assistant Bookkeeper to assist their team on a short term contract of 3 months. JOB DESCRIPTION: Full Creditors function Full Debtor function Bank account reconciliation B-BBEE Procurement Financial Assistant to Accoun
Description We are seeking a dedicated and experienced Accountant to join our dynamic team in Cape Town, Western Cape. The ideal candidate will hold a degree in Accounting (B.Com Accounting) and possess a minimum of 3 years of relevant experience in the field. The Accountant will play a crucial role
Description We are seeking a dedicated and experienced Accountant to join our dynamic team in Cape Town, Western Cape. The ideal candidate will hold a degree in Accounting (B.Com Accounting) and possess a minimum of 3 years of relevant experience in the field. The Accountant will play a crucial role
Accounting Firm in Table View / Muizenburg requires the services of an Accountant Completed relevant tertiary qualification (B.Compt / B.Com Acc) Articles of Clerkship (SAICA or SAIPA) will be a strong recommendation 3-5 years' experience as a financial accountant Main responsibilities will be, but
Our client in the Financial Service industry is currently looking for a Bookkeeper , in Stellenbosch, Western Cape. Processing financial information and obtain relevant experience. Processing of bank and other entries on behalf of clients in relevant financial software package. Various reconciliatio