Introduction An agricultural commodity trading company in Pretoria East is looking for a detail-oriented, efficient Financial Controller to join their team. Job Purpose The Financial Controller oversees the day-to-day activities of the finance and back-office team and ensures the company's finance f
Introduction An agricultural commodity trading company in Pretoria East is looking for a detail-oriented, efficient Financial Controller to join their team. Job Purpose The Financial Controller oversees the day-to-day activities of the finance and back-office team and ensures the company's finance f
Searching for finance graduates looking at starting their careers IN 2023. We offer a career with flexible working hours and high potential earnings. This is your opportunity to BE EXTRAORDINARY. Excellent communication skills along with the ability to prospect new clients are essential. Being a Fin
Searching for finance graduates looking at starting their careers IN 2023. We offer a career with flexible working hours and high potential earnings. This is your opportunity to BE EXTRAORDINARY. Excellent communication skills along with the ability to prospect new clients are essential. Being a Fin
Reconcile approximately 45 cashbooks monthly. Reconciliations are executed twice a month with final recon for all 45 cashbooks completed by the 2nd working day of the new month. Tenant deposit reconciliations as well as tenant deposit refunds & transfers. Obtain invoices and prepare payment requ
About us: Neurophysics (Pty) Ltd is a distributor of advanced medical devices, dedicated to improving patient outcomes and increase customer satisfaction. Our products are trusted by healthcare professionals nationwide. Position Overview: We are seeking a detail-oriented and well seasoned Debtors Ad
statements
Assisting the Financial Manager with yearly budgets and board reporting figures. Assisting the Group Retail
Join a well-established property development company and utilise your bookkeeping skills. Reconcile approximately 45 cashbooks monthly. Reconciliations are executed twice a month with final recon for all 45 cashbooks completed by the 2nd working day of the new month. Tenant deposit reconciliations a