franchise store. Check cash flow projections to ensure profitability of the store. Securities available for the and Accountants on the status of Member Accounts Grade 12 (Matric) Tertiary Qualification in Accounting/Finance
Admin Assistant to join their team. DUTIES General Office Administration. Assist in processing and capturing REQUIREMENTS Grade 12 / Senior Certificate Min 3 years' Admin experience Proficient in Microsoft Office Suite function well under pressure. Must have own reliable transport with a valid driver's licence
Admin Assistant to join their team. DUTIES General Office Administration. Assist in processing and capturing REQUIREMENTS Grade 12 / Senior Certificate Min 3 years' Admin experience Proficient in Microsoft Office Suite function well under pressure. Must have own reliable transport with a valid driver's licence
Debt collection, creditor recons, stock control, cash flow forecasts Project management Basic/working debtors, debt collection, creditors, stock control, cash flows, statutory returns, and payroll Manage a team reports and stats Weekly stock reports, transport calcs, cash recons, etc. Weekly payroll for multiple (including EMP201, VAT201, etc.) SARS Easyfile Microsoft Office – intermediate level (pivot-tables, V-Lookup, linking Debt collection, creditor recons, stock control, cash flow forecasts Project management Basic/working
Science / Accounting or NQF level 4 equivalent (OR) Grade 1 Meat Cutting Certificate (OR) Recognised Butchery as the “Act”. The SPAR Group LTD, with its head offices at 22 Chancery Lane in Pinetown, is collecting retained as part of your employee portfolio and secured accordingly. This information is given to us, by the right to lodge a complaint via email with the office of the Information Regulator, at complaints.IRjustice
Science / Accounting or NQF level 4 equivalent (OR) Grade 1 Meat Cutting Certificate (OR) Recognised Butchery as the “Act”. The SPAR Group LTD, with its head offices at 22 Chancery Lane in Pinetown, is collecting retained as part of your employee portfolio and secured accordingly. This information is given to us, by the right to lodge a complaint via email with the office of the Information Regulator, at complaints.IRjustice
transactions (e.g. debtor and supplier invoice processing, cash book processing and reconciliation, load and authorisation authorisation of payments, etc.). Review cash flow forecast on a frequent basis. Monthly reconciliation documents. Arrangement of shipping containers. Office management duties. Bachelor's degree in Accounting
The head office is based in Brackenfell, South Africa. The vacant Group financial accountant position budget reporting pack. Compile Group consolidated cash flow forecast. Assistance/involvement with mergers
effectively to all stakeholders Own reliable transport
certification/compliance. Proficiency in Microsoft Office tools, especially Excel. Other Qualifications: