ready to take your accounting career to the next level? Look no further Join our vibrant team in Roodepoort receivable, payroll, and general ledger entries. Data Entry: Inputting financial data into accounting year-end closing processes, ensuring all financial information is recorded and reconciled. Internal Communication: Collaborating with other departments to gather necessary information and resolve accounting-related issues. External
posting journal entries. Applies principles of accounting to analyze financial information and prepare financial recording and verifying transactions. Cashbook Capture entries, maintain and reconcile cash book Loading of all beneficiary details in the bank Process salary and wage entries into cashbook Reconciliation of bank statements matter how small. Monitor and checks work of information and plans and organizes time and resources efficiently handling detailed information and being consistently attentive to details Analysing information – Systematically
aspects of financial accounting, including journal entries, reconciliations, and financial statement preparation
monthly.
reconcile transactions,
Processing of Journal entries,
Maintain accurate financial records and produce
and forecasts
Provide accurate financial information to management and other stakeholders
Inventory
finances, treasury, risk management as well as information technology YOUR FOCUS WILL BE ON: Financial leadership ensuring financing solutions. Aligning information technology with the Group's strategy: Drive and align operations, as well as the supply of data for informed decision-making. Business savvy and insights: the ability to build strong relationships on all levels of the company. A strategic attitude with a passion Proven oversight and experience regarding technology and information systems. Person must be Afrikaans and
reporting, including accounting for month-end entries, balance sheet reconciliations, and the preparation
platforms. Must have experience with creating service entries on business-to-business electronic client platforms
platforms. Must have experience with creating service entries on business-to-business electronic client platforms
Services globally. We are steadfast in providing technology-driven sophisticated services to our global clients financial management strategy Gather relevant information from sources and stakeholders in order to fulfill BA return information obtained to the management accounts; analyze and review information to ensure accuracy anomalies by analyzing and interrogating financial information. Ensure that financial business analysis is conducted finance/regulatory function and risk categories at targeted levels by adhering to internal and external guideline