Authorisation of all payments and beneficiaries Review reconciliations of bank accounts Performing ad-hoc financial Sheet Level Review and Approve Balance Sheet Reconciliations Responsible for the Reviewing, Finalizing and Queries and communication Responsible for Annual Reconciliations, submission and payment of Workman's Compensation
Authorisation of all payments and beneficiaries Review reconciliations of bank accounts Performing ad-hoc financial Sheet Level Review and Approve Balance Sheet Reconciliations Responsible for the Reviewing, Finalizing and Queries and communication Responsible for Annual Reconciliations, submission and payment of Workman's Compensation
the preparation and or review of month-end reconciliations, journal entries and supplementary reports Financial Accountant Assist with ad hoc merchant reconciliations and or queries Assist with the BEE compliance and manage a small team effectively Strong reconciliation and investigation skills Monthly Salary: R55000
the preparation and or review of month-end reconciliations, journal entries and supplementary reports Financial Accountant Assist with ad hoc merchant reconciliations and or queries Assist with the BEE compliance and manage a small team effectively Strong reconciliation and investigation skills Monthly Salary: R55000
processing of lease payments, adjustments, and reconciliations. Monitor lease terms and conditions to ensure
processing of lease payments, adjustments, and reconciliations. Monitor lease terms and conditions to ensure
expenses. Review and sign off general ledger reconciliations and ensure that reconciling items are cleared Periodic physical verification processes. Reconciliation of assets reflected in the Pastel system with completeness (IT14, IT14SD, etc.) Review monthly reconciliation between the Tax and Book asset registers. No
expenses. Review and sign off general ledger reconciliations and ensure that reconciling items are cleared Periodic physical verification processes. Reconciliation of assets reflected in the Pastel system with completeness (IT14, IT14SD, etc.) Review monthly reconciliation between the Tax and Book asset registers. No