seeking a skilled Bookkeeper to join their dynamic team in Cape Town. As a Bookkeeper, you will be responsible records, including purchases, sales, receipts, and payments. You will collaborate closely with the Accounting payable and receivable, and manage invoices and tax payments. The ideal candidate will have a strong attention organizational skills, and a solid understanding of basic bookkeeping principles. Experience with accounting software Maintain forex transactions including the tracking of payments, deliveries and clearing documentation Reconciliation
seeking a skilled Bookkeeper to join their dynamic team in Cape Town. As a Bookkeeper, you will be responsible records, including purchases, sales, receipts, and payments. You will collaborate closely with the Accounting payable and receivable, and manage invoices and tax payments. The ideal candidate will have a strong attention organizational skills, and a solid understanding of basic bookkeeping principles. Experience with accounting software Maintain forex transactions including the tracking of payments, deliveries and clearing documentation Reconciliation
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detail-oriented Creditors Clerk to monitor, verify, reconcile, and process payments to creditors. Main Responsibilities: differences. Process approved invoices and prepare payment batches. Maintain and reconcile creditor and supplier
cash Journals – Monthly; Payroll; Depreciation Bookkeeping up to Trial balance Management Accounts – preparation beneficiaries list on banking system Creating payments Daily bank deposits reconciliation and follow-up
the company fixed asset register
maintenance of the company fixed asset register Review payments on the banking platform Managing the monthly cash overseeing the year-end audit process Review VAT/PAYE payment preparations and reconciliations Annual BEE audit Review of legal agreements Ensure all foreign payments are made and appropriate foreign exchange contracts
maintenance of the company fixed asset register Review payments on the banking platform Managing the monthly cash overseeing the year-end audit process Review VAT/PAYE payment preparations and reconciliations Annual BEE audit Review of legal agreements Ensure all foreign payments are made and appropriate foreign exchange contracts