software system skills. Debtors, Creditors & Bank recon experience. Bookkeeping up to trial balance
Perform General Ledger reconciliations (including bank, suspense and inter-departmental account; Consolidate cash, creditors, debtors, filing of invoices and bank statements, maintain asset register Relevant diploma
Change of banking details to be verified and signed procedure form completed Ensure banking details are are correctly captured and any change of banking details request, that company policy and procedure has
investment decisions are informed by the latest standards and practices.
The Accountant will be responsible for reconciling bank accounts, preparing and sending out client statements/age
investment decisions are informed by the latest standards and practices. Prepare detailed reports and present information contact: Camryn Mearns Specialist Consultant: Finance cmearnsnetworkfinance.co.za
investment decisions are informed by the latest standards and practices. Prepare detailed reports and present information contact: Camryn Mearns Specialist Consultant: Finance cmearnsnetworkfinance.co.za
Reference: JHB000171-MR-1 A firmly established IT Consulting company providing professional IT services to
Reference: JHB000171-MR-1 A firmly established IT Consulting company providing professional IT services to
medium, and large enterprises Follow auditing standards and procedures efficiently Assist in the preparation