currently in search of a proficient Technical and General Accountant. As part of this pivotal role, you will
and experienced General Finance Manager to join their team!
As the General Finance Manager
assisting with compliance requirements.
ambitious individual to join their team as a Junior General Manager. Assist in overseeing daily operations
We are currently working with a highly valued client in the Information and communication technologies industry and the are looking to add to their finance team. They are looking for an individual that will be at the forefront of shaping the financial landscape of their industry. Your expertise will
insurance industry has an opportunity available for a General Manager to join their team based in Roodepoort claims, and assisting with compliance requirements. General administrative and compliance duties Regular risk
motivated and experienced General Finance Manager to join their team As the General Finance Manager, you will
si b l e f or exec ut i n g f ie l d ma r k e t i n g assig n me n t s, in li n e w i t h t h e W es t ri c a Li n e o f B u s i n ess m a nd a t e . T h i s w o u ld i n c l u d e V e n d or a n d Reseller Reseller P a r t n er f oc u s e d ma r k eti n g a n d b r a nd i n g s t ra t egi e s , p la n s, p r o grams grams a n d c am p ai g n s li n k ed Westcon specific B P sales a n d v e n d or t arge ts , as w e ll s p o n s i b i li ty f or e x e c u t in g a ss i g n e d B u s in e ss P r a c ti s e s a n d V e nd
Internal Journals and Cashbook Freelancers Effect PAYE deductions on invoice received from independent contractors Review of monthly payments to freelance workers Cash Flow Manage all credit control activities providing information to the auditors as necessary General Assist management with other duties and may be
Process underwriting results per client onto the general ledger including premium, reinsurance premium, and fees. Process reserves per client onto the general ledger i.e. outstanding claims, Incurred But Not portions. Process income tax per client onto the general ledger. Process cashbook transactions and any other other required journal entries per client onto the general ledger. Prepare Balance Sheet reconciliations per and reinsurance debtors. Pay reinsurers and submit reinsurance bordereaux. Pay administrators and other