exists for an Accounts Clerk (FTC), based in East London, reporting to the Regional Accounts Clerk. The reconciliations for specific areas in the financial accounting processes of the organisation Minimum Requirements 12 Completed National Diploma in Bookkeeping / Accounting (NQF 6) Financial process understanding up to Department with fundamental accounting knowledge Relevant SAP experience (accounting functions) will be an liaising with the relevant parties Responsible for accounts payable processes and vendor liaison Responsible
Systems Accountant required for a reputable company based in East London :
exists for an Accounts Clerk (FTC), based in East London, reporting to the Regional Accounts Clerk. The reconciliations for specific areas in the financial accounting processes of the organisation
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provide strategic leadership and management in respect of accounting, financial, & procurement policies for the company, and the Auditor General
? Contract Duration: 5 years
? Centre: Head Office
Areas (KPA’s)
Financial Management:
Ensure the development of the
Provide direction towards the management of company financial and accounting systems.
Ensure the creation distribution of all the company’s Financial and Accounting Reports to the appropriate authorities and committees
Company is seeking an Accountant Key Responsibilities 1. Financial Management - Prepare and analyse monthly quarterly, and annual financial statements. - Manage general ledger and ensure all financial transactions accurately. - Conduct regular reconciliations of bank accounts and financial statements. - Assist in budgeting 2. Stock and Inventory Management - Perform regular stock counts and manage weekly inventory audits restocking. - Analyse stock turnover rates and manage obsolete inventory. 3. Sales and Revenue Tracking
criteria:
We are seeking a highly motivated Accountant with specific operational commercial experience. The candidate encompassing property financial analysis, performance management, budgets, forecasts, and operations (leasing Property Net Operating Income. Develop, implement, and manage property budgets and forecasts in collaboration teams in managing the property budgets. Provide valuable input in the preparation of management accounts Creditors Management. Assist the facilities team in managing the property asset registers and managing consumables
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Relevant accounting qualification/ experience/ articles Proven working experience as an accountant Solid Solid understanding of Accounting Principles Computer literate with exceptional data entry skills Spreadsheet Processing of Monthly and Annual clients Compiling of management reports processing of various client payroll