Umhlanga accounting firm specialing in servicing medical and healthcare professionals seeks a young energetic energetic bookkeeper/trainee accountant - Bookkeeping to trial balance - Processing for VAT returns - Assisting the Accountants Preference will go towards canidates who have experience in SageOne Accounting, working possibility of an accounting bursary. Your salary will also increase with each accounting subject you pass
Graduate Trainee - Kwazulu Natal A payment solutions provider is looking to appoint 2 graduates to upskill
Graduate Trainee - Kwazulu Natal A payment solutions provider is looking to appoint 2 graduates to upskill
complete your SAICA articles to become a chartered accountant (CA(SA)). Start Date: July 2024 Conducts full stages of an audit engagement. Completing assigned accounting tasks accurately and efficiently Working collaboratively projects Developing a solid understanding of accounting principles and practices Participating in training
Stipend: R 10,000 per month The post Graduate Trainee Data Analyst appeared first on freerecruit.co.za
Stipend: R10 000 per month The post Graduate Trainee Information Technology appeared first on freerecruit
Presentation Psychometric Assessments The post Graduate Trainee Economics appeared first on freerecruit.co.za
Trainee Orders Clerk, Pietermaritzburg, Midlands. Company Name: JJS. Pietermaritzburg based company requires requires a Trainee Orders Clerk who has strong computer and administrative skills (MS Outlook, Excel
Permanent Accounting and Finance Jobs in Scottburgh Industry: Accounting and Finance Job Type: Permanent that an accrual is made for all invoices not accounted for at month end. Maintain effective working relationships external stakeholders. Minimum Requirements: Bcom Accounting degree essential. Completed articles with 1 –
will be required to analyse and review monthly accounts, perform monthly comparisons as well as compile audit. This is a great opportunity to use your accounting knowledge, business acumen and analytical ability Processing of accounting transactions and journals • Reconciliation of general ledger accounts • Ensure timeous with reporting deadlines • Review of the monthly accounts for validity, accuracy and completeness of all and ensure that they are posted to the correct accounts • Perform monthly comparison to approved budgets