preparation of accounting reconciliations and resolving of reconciling items in relevant accounting process process Responsible for month end processes and assist in capturing of data Ensure compliance, corporate governance governance, procedures and protocols Assist in Adhoc projects Matric (additional qualifications would be
area, has a contract position for a Financial Accountant / Controller . Successful candidate will report carrying out tasks/instructions Knowledge of Accounting Software ( Sage Evolution ) Knowledge of Payroll years' experience at a supervisory role Bookkeeping with full accounting experience function Payroll related related experience Excellent understanding of accounting principles Strong leadership skills Ability to work
and Min 2-3 years experience
Assist the Financial Accountant
Generate PO and GRN
Match
Reference: CNT000467-KN-1 To assist the Head: Trade Transaction Management Unit with the management and and reconciliation of the of TMU Accounts) by ensuring that the daily, weekly and monthly reconciliations reconciliation of Cash Cover, collateral, Call and Margin accounts; Ensuring attention to detail when screening of
Reference: CNT000467-KN-1 To assist the Head: Trade Transaction Management Unit with the management and and reconciliation of the of TMU Accounts) by ensuring that the daily, weekly and monthly reconciliations reconciliation of Cash Cover, collateral, Call and Margin accounts; Ensuring attention to detail when screening of
on the query register. Ensure that customer's accounts are credited as per resolution from the Billing and ANSPs. Responsible for the opening of new accounts on the Oracle system. Ensure the debtors master reminder and final notice letters to customers whose accounts are not paid as per ATNS credit terms. Minimize USD. Participation in ad hoc financial projects. Assist with internal and external audit requests. Minimum Qualification 3 Year National Diploma in Finance/Accounting Studying towards a bachelor's degree will be
communicator with in-depth knowledge of financial accounting and Treasury processes? Join our dynamic team in financial accounting and Treasury processes: - Bank Statement Processing - Bank Account Management - ce: - BCOM in Accounting - Postgraduate degree or certification - Chartered Accountant or MBA (advantageous)
ement and reconciliation of the bank and cash accounts, preparation of the weekly cash counts and monthly Head Office, ensuring financial and resource accountability and effective management for records as required Bachelor''''s degree in Finance and Accounting,
A minimum of 5 years of experience finance, accounting, budgeting, and cost control principles including Generally Accepted Accounting Principles
Experience with Oracle and Navision accounting software systems.
Demonstrated
accurate and timely reconciliations across all accounts, products, and systems, ensuring the smooth flow Open Account Trade Finance, Risk Participation, Trade Loans, Exchange Control and Escrow accounts.
reconciliation of Cash Cover, collateral, Call and Margin accounts Ensuring attention to detail when screening of accurate and timely reconciliations across all accounts, products, and systems, ensuring the smooth flow Open Account Trade Finance, Risk Participation, Trade Loans, Exchange Control and Escrow accounts. good