Upper Highway outsourcing company require a trial balance bookkeeper who has experience working on Pastel applicant will be responsible for processing accounts to trial balance, payroll, financial reporting, and statutory
books for end of year audit and up to trial balance
is studying towards one, and 3-5 years experience doing bookkeeping to trial balance, ideally within a intercompany loans accounts, dealing with fixed asset accounts, Vat and management accounts. Experience working
BOOKKEEPER - (SYSPRO) BALANCE SHEET- AA / EE POSITION. BASED CROWN MINES - (WEST RAND) R33 OOO CTC per per month Leading company seeking balance sheet bookkeeper to manage all bookkeeping functions for 3 branches cashbooks, petty cash functions, bank reconciliations Balance sheet reconciliations, month end close off procedures Processing of Vehicle fuel cards, cell phone accounts and generally maintaining fuel cards Various ad hoc bookkeeping functions BOOKKEEPER - (SYSPRO) BALANCE SHEET- AA / EE POSITION. BASED CROWN MINES - (WEST
technical services around the exceptional SAP Business One business software for SMEs. The role will eventually Implement at least 10 full life cycle SAP Business One projects in a consulting capacity. Comfortable in processes. Understanding of financials to P&L and balance sheet. Working knowledge of Crystal Reports. Working attitude. Flexible and tenacious. Advantageous Accounting background or qualification such as AAT, degree
cellent communication skills
-Tertiary Accounting/Bookkeeping qualification a must
-Minimum must
-Minimum 5 years recent bookkeeping to Balance Sheet experience
-Must have Multi Companies & Inter
Cold Storage in City deep need counter balance forklift must have 3 years exp Matric Clean criminal record
Retail industry (Pretoria) is in urgent need of an Accountant with a strong Retail background (Understanding the Retail industry Experience with Intercompany accounts (Inter-branch transactions) Duties and responsibilities responsibilities amongst other: Full Accounting function up to Balance Sheet reconciliations. Company entails preparation and submitting of returns Maintenance of accounting system allocations, reconciling of General Ledger implementation of accounting procedures, standards and controls. Setup of Project accounting, bill of materials