Woodstock (Cape Town), requires a Finance Clerk to support the CEO and MD in their day to day operations. ability to handle a variety of tasks efficiently, support the financial operations, ensuring accuracy and transactions. Account Reconciliation: Reconcile bank statements and financial ledgers. Identify and resolve processing. Administrative Support: Assist in preparing financial reports. Support the finance team with various in maintaining and organizing contract records. Support the contract management team with administrative
Woodstock (Cape Town), requires a Finance Clerk to support the CEO and MD in their day to day operations. ability to handle a variety of tasks efficiently, support the financial operations, ensuring accuracy and transactions. Account Reconciliation: Reconcile bank statements and financial ledgers. Identify and resolve processing. Administrative Support: Assist in preparing financial reports. Support the finance team with various in maintaining and organizing contract records. Support the contract management team with administrative
responsible for providing clerical and administrative support in respect of general ledger(GL) accounts and assisting and reviewing cashbooks, and performing monthly bank account reconciliations Preparing and managing ad
Account Reconciliation:
Account Reconciliation:
(Cape Town), requires a Finance Administrator to support the CEO and MD in their day to day operations. ability to handle a variety of tasks efficiently, support the financial operations, ensuring accuracy and transactions. Account Reconciliation: Reconcile bank statements and financial ledgers. Identify and resolve processing. Administrative Support: Assist in preparing financial reports. Support the finance team with various in maintaining and organizing contract records. Support the contract management team with administrative
(Cape Town), requires a Finance Administrator to support the CEO and MD in their day to day operations. ability to handle a variety of tasks efficiently, support the financial operations, ensuring accuracy and transactions. Account Reconciliation: Reconcile bank statements and financial ledgers. Identify and resolve processing. Administrative Support: Assist in preparing financial reports. Support the finance team with various in maintaining and organizing contract records. Support the contract management team with administrative
detailed records of financial transactions. Reconcile bank statements and financial ledgers (can be taught) basic audit information and regulatory reviews. Support the finance team with various administrative tasks welcoming new staff Collating payroll information Support the contract management team with administrative
detailed records of financial transactions. Reconcile bank statements and financial ledgers (can be taught) basic audit information and regulatory reviews. Support the finance team with various administrative tasks welcoming new staff Collating payroll information Support the contract management team with administrative
the bank, finding exceptions and bringing visibility to drift between expected money in the bank and