reconciliations. Cash books for 2 companies ( 5 Bank Accounts) Authorizes local payments. Prepares and Approves creditor's recons and loads payments in the banking system. Weekly sales reporting. Liaise with both receivable, including invoicing and payments Complete bank reconciliations and ensure accurate cash flow management
reconciliations. Cash books for 2 companies ( 5 Bank Accounts) Authorizes local payments. Prepares and Approves creditor's recons and loads payments in the banking system. Weekly sales reporting. Liaise with both receivable, including invoicing and payments Complete bank reconciliations and ensure accurate cash flow management
join their team , a leading pan-African investment bank . This full-time position will be based in Johannesburg reporting mechanisms, and tools. Facilitate internal trainings and knowledge sharing on EandS with the investment
join their team , a leading pan-African investment bank . This full-time position will be based in Johannesburg reporting mechanisms, and tools. Facilitate internal trainings and knowledge sharing on EandS with the investment
accounts payable and receivable Process and reconcile bank transactions Prepare and analyze financial reports
Process and record financial transactions - Reconcile bank accounts and other financial accounts - Assist in
operations of the company. Responsibilities: Conduct bank reconciliations, generate VAT reports, administer
negotiableFamily Leave (Maternity, Paternity) Training and Development Paid Time Off (PTO) (if applicable)
Proficiency in MS Office Suite Benefits: SAICA Training Positive Team Culture Excellent Clientele Mentorship
and other financial requirements Supervise and train finance team members Requirements 5 Years post