within the accounting department. Reporting to the GL Accounting Manager, this goal-oriented, driven, and
reconciliation and submission of PAYE/SDL/UIF EMP201's via EFiling Monthly reconciliation and payment requests of COID & EMP501 Submission of month-end and GL Interface files to Finance Department Monthly preparations
reconciliation and submission of PAYE/SDL/UIF EMP201's via EFiling Monthly reconciliation and payment requests of COID & EMP501 Submission of month-end and GL Interface files to Finance Department Monthly preparations
balance sheet reconciliations Assist with checking GL Accounts Cashbook reconciliations Qualifications
balance sheet reconciliations Assist with checking GL Accounts Cashbook reconciliations Qualifications
knowledge of SAP ERP including FICO (GL, AR, AP, FA, PCA, CCA, New GL) including interfaces, data migration 3-year IT-related degree (required). SAP certification(s) in Logistics modules. Certified in TOGAF, Agile Methodologies
professional who will enhance systems and processes, ensure GL account accuracy, and oversee statutory reporting
professional who will enhance systems and processes, ensure GL account accuracy, and oversee statutory reporting
balance sheet reconciliations Assist with checking GL Accounts Cashbook reconciliations Education and Experience:
balance sheet reconciliations Assist with checking GL Accounts Cashbook reconciliations Education and Experience: