Accounts Payables; Accounts Receivables; and Reconciliations.
Consultant: Mia vd
based in Bryanston, is looking for an Accounts Clerk to join their team. Salary is dependent on experience Accounts Payables; Accounts Receivables; and Reconciliations. Consultant: Mia vd Westhuizen - Dante Personnel
based in Bryanston, is looking for an Accounts Clerk to join their team. Salary is dependent on experience Accounts Payables; Accounts Receivables; and Reconciliations. Consultant: Mia vd Westhuizen - Dante Personnel
Minimum requirements:
based in Bryanston requires an Accounts Payable Clerk to join their team. The company is currently centralising and requires Experienced Full function Creditors Clerks. Due to the nature of the environment, you will
The Creditors Clerk will be responsible for payment of accounts payable and reconciliation of creditors'
and requires Experienced Full function Cashbook Clerk to take care of a portfolio of sites. Due to the
of the role is with the administration and reconciliation of general and payroll finances within the Prepare and submit monthly cashbook and bank reconciliation Payroll & Other Recoveries Prepare and recoveries Prepare monthly reconciliation of recovery accounts Payroll Reconciliations Prepare monthly payroll payroll reconciliations for NBL, Ciro, Botswana, Namibia and Zambia Including PAYE, UIF and SDL recon. Liaise
postings and maintenance up to trial balance Reconciliation of all balance sheet accounts as well as agreement inter-company balances and subsidiary ledgers. Sales reconciliation – balance up of sales reports to general ledger payroll. E.g. PAYE, garnishees, pension etc. and reconciliation of all wage and salary clearing accounts. Cashbook involves daily updates of the cashbook and reconciliation, as well as allocation/ageing of all payments Accounting experience in accounts preparation, reconciliation and bookkeeping, VAT/PAYE compliance and reporting
processing journal entries, preparing balance sheet reconciliations, updating pricing, and managing order requisitions Prepare Balance Sheet Reconciliations Prepare balance sheet reconciliations accurately at month-end