Shopping Centre Manager - Pretoria Primary Purpose of the Job To oversee the property's performance with five years of current Centre / Property management experience · Shopping Centre Management certification experience · Centre Management experience at a regional shopping centre · 5 years relevant Centre Management
Trail Balance, Income Statements, Balance Sheet and Cash Flow). SARS Tax Practitioners: VAT, PAYE and Income calculations Banking Bank Approvals on SAGE and FNB (payments and adding of beneficiaries). Cashflow cashflow forecast. Maintain weekly cash bank balances Reporting weekly cash flow figures to the Financial
ambitious Financial Accountant ready to skyrocket your career in a cutting-edge, fast-paced environment? Dive institution where innovation, personal growth, and career progression are their driving forces. Job & in financial reporting, budget and forecasting, cash flow management, consolidations and taxation. The invite you to contact us to discuss your your next career move in Finance R 750 000 - R 800 000 - Monthly
Reference: JHB001922-KS-1 Are you ready to take your career to the next level in a role that offers both challenge (Trial Balance, Income Statements, Balance Sheet, Cash Flow) Tax calculation and filing (VAT, PAYE, income tax) for SARS Bank approval tasks on SAGE and FN Cash flow forecasting and maintenance Accounts Payable
significant impact on this financial operation and your career growth Minimum Requirements: BCom Accounting or inter-group loan accounts. Monitor weekly group cash position. Reconcile related party transactions.
significant impact on this financial operation and your career growth Minimum Requirements: BCom Accounting or inter-group loan accounts. Monitor weekly group cash position. Reconcile related party transactions.
Accounting Firm in Pretoria. Accredited SAIPA Training Centre Great working environment Studying B Com Accounting
trails and regulatory requirements. Cash Flow Management: Monitor cash flow and ensure adequate liquidity liquidity for project requirements. Assist in preparing cash flow forecasts and managing working capital. Financial
this role and / or will have a permanent alternate cash advance. Performs the full range of cashiering services processing of accommodation exchange, collections, cash payments and bank account reconciliations in accordance safeguarding of cash, receipts and processing accuracy to include restitution of cash shortages. Alternate bank account, as required. COLLECTIONS: Accepts cash and checks in accordance with Department of State petty cash purchases upon receipt of an approved Petty Cash Disbursement form. Issues priority cash advances
including: Debtors, Creditors, Fixed assets, Bank and Cash, Journals, Reconciliations, Statutory returns, Departmental Internal applicants should apply on the SABN careers portal on the intranet by uploading detailed CV's