further – we're searching for talented Cost Accountants. Responsibilities: Financial Analysis Skills: actionable insights to support decision-making by management. Budgeting and Forecasting Experience: Budgeting provide explanations for variances. Management Reporting: Preparing management reports, including financial Bachelor's degree in accounting, finance, or a related field is required. A professional accounting qualification as CPA (Certified Public Accountant), CMA (Certified Management Accountant), or ACCA (Association of
Description Senior Accountant required for a reputable accounting firm based in East London Processing Processing of accounting records onto a computerized accounting system resulting in an accurate and complete Supervise and train junior and intermediate accountants. Requirements: BCom degree or equivalent work and reconciling of Petty Cash and cash control accounts Keeping of a fixed asset register General journals Reconcile debtors and creditors statements. Correct accounting treatment on disposal of assets (property, plant
Africa. Deloitte is recruiting a Tax Compliance Manager for a permanent role with one of our external clients in Randburg at the client. The Tax Compliance Manager will report to the Head of Tax: Africa, with a a dotted reporting line to Regional Tax Managers. Key Customers in the role: Internal: CFO, Regional FDs Agency & Franchise Markets, Regional Finance Controller, Country Finance Managers, Country Finance controllers controllers, Regional Tax Managers, Regional Finance Directors External: Revenue Authorities across the
an amazing opportunity for a Senior Accountant/Financial Manager in Durban The role includes a blend & cost accounting. Minimum Requirements: Degree in Finance 5 years Financial Management experience
/>Review and approve banking transactions
Manage cash flow and forecast fund requirements
Oversee
procedures
Prepare fund accounts and ensure compliance
Liaise with investment managers and brokers
Handle
/>Coordinate fund valuations and compliance
Prepare management reports and budgets
Ensure customer and
and SLA adherence
Assist team with accounting issues
Develop and lead a high-performing team
Materials (BOMs) is required
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IDC has a portfolio Funds under management from various stakeholders. The organization also assist in customer support and post investment management of same - to ensure the company and the economy experience in due diligence disciplines (e.g. Marketing, Technical or Financial) with regards to investing statements.
Reference: CPT001181-FT-2 COST / MANAGEMENT ACCOUNTANT (Pooling and/or Grower Accounts) Tyger Valley Our client a COST / MANAGEMENT ACCOUNTANT in Bellville whom will focus on Pooling and/or Grower Accounts. RESPONSIBILITIES: RESPONSIBILITIES: Setup and maintaining consignment accounts for the business' foreign operations. This will experience in fruit accounting or bookkeeping Experience in consignment accounting, cost chains and incoterms is a Senior position and will form part of the Management Team. TO APPLY: To apply or receive more information
CTF018734-Liv-1 Join our Cape Town team as a Fund Accounting Manager in the employee benefits sector. In this this role, you'll oversee the entire accounting function of our funds, ensuring accurate reporting and regulatory compliance. Review and approve banking transactions Manage cash flow and forecast fund requirements Oversee procedures Prepare fund accounts and ensure compliance Liaise with investment managers and brokers Handle Prepare management reports and budgets Ensure customer and SLA adherence Assist team with accounting issues
are looking for a skilled Accounts Receivable Manager to oversee the accounts receivable functions of our background in accounting, excellent leadership abilities, and a proven track record of success in managing receivables improvements to ensure efficient cash flow management. Manage the accounts receivable process from invoicing to optimize the accounts receivable process and minimize delinquencies. Monitor customer accounts to identify manner. Conduct regular reconciliations of customer accounts and maintain accurate records of transactions