reviewing of Cash Sales & Credit Card transactions Periodic reconciliation of Cash Sale and Credit Card Ledger Accounts Maintaining three separate Cash Books Maintaining Fixed Asset Register Authorization
company objectives Grade 12 A formal tertiary qualification would be an advantage. MS Office (Word, Excel,
company objectives Grade 12 A formal tertiary qualification would be an advantage. MS Office (Word, Excel,
accuracy; 2. Treasury Ensuring that cash budgets and forecast cash flow positions are prepared on time; of the group and ensure that a review of future cash flow requirements is based on accurate projections Tax; VAT; PAYE and Fringe Benefits; Estate Duty; Securities Transfer Tax; Transfer Duty Capital Gain Tax; testing for the project; Ensuring the project is securely delivered and fulfill expectations; Identifying project information is appropriately documented and secured; Monitoring the progress of the project and make
skilled Cost & Management Accountant to be office based in Woodstock, Cape Town. The pay range on skilled Cost & Management Accountant to be office based in Woodstock, Cape Town. The pay range on
managing staff