Job Title: SAICA Trainee Location: Cape Town Job Type: Full-time, Internship Salary: Competitive Description: in the search for a driven and ambitious SAICA Trainee. If you are looking to qualify as a Chartered Accountant
SAICA TRAINEE ACCOUNTANT Location: Menlo Park, Pretoria Salary: R 192 000, 00 per annum Starting Date: their SAICA trainees a well-rounded and complete training experience to enable their trainees to grow and remainder of the SAICA Training Contract if the trainee is transferring from an out-of-town firm, in order approved tertiary institution which qualifies the trainee to enter into a SAICA Training Contract – Must future available opportunities The post SAICA TRAINEE ACCOUNTANT (EE) X 2 appeared first on freerecruit
performed by SAIPA trainees. Reconciling Debtors and Creditors monthly and training SAIPA Trainees in these reconciliations bookkeeping, taxes, and SARS submissions to SAIPA Trainees. Preparing accounting work for annual financial
paths, and ensure team buy-in. Ensure accurate capturing and approval of debtors/creditors, including invoice invoice approvals. Ensure accurate capturing and approval of sales invoices to customers and from farms Ensure all reviews and financial activities are captured accurately and timely. Ensure payments are allocated Manager on financial matters. Ensure accurate capturing on all financial information platforms, including sorted for all entities. Timely and accurate data capturing of Payspace information, payroll, wages, overtime
and ensure team buy-in.
Manage the Audit manager and team leader, trainee accountants including all relevant functions pertaining
General tax work. Training and development of SAICA trainees. Requirements: Completed SAICA Articles. Bachelors
Debtors Management: •Capture debtor accounts in Xero and maintain accurate records. •Capture invoices and payments reports and age analysis. Creditors Management: •Capture supplier invoices and payments in XERO and maintain on VAT submissions and provide accurate financial data and reports. •Assist with month-end and year-end
invoice capturing Supplier reconciliations to supplier statements Supplier credit note capturing Debt collections collections Bank capturing and bank reconciliation Customer invoicing Capturing customer credit notes
Daily capturing of bank, petty cash and credit card statements, Prepare monthly reconciliations, Manage the accounting duties daily as well as monthly, Capture individual accounts for personal income tax submissions Reconciling supplier ledgers and debtors books, Daily capturing of debtors invoices for all clients, Do payroll