financial reporting, monthly management accounts, reconcile General Ledger Accounts, preparation of annual budgets
banking Process and reconcile supplier accounts Reconcile General Ledger accounts Petty cash control and reconciliation
banking Process and reconcile supplier accounts Reconcile General Ledger accounts Petty cash control and reconciliation
procedures, including accrual-based accounting and reconciliation of general ledger accounts, and review 3rd party
GROUP FINANCIAL ACCOUTANT– Fourways, JHB R400 000 – R600 000 Per Annum Negotiable depending on Qualification and Years of Experience Our client, a highly reputable and established Landscaping Design Service Provider is in need of an experienced and astute Finance professional to join their dynam
banking Process and reconcile supplier accounts Reconcile General Ledger accounts Petty cash control and reconciliation
depreciation, and interest on loan accounts; Reconcile general ledger accounts and maintain accurate financial
depreciation, and interest on loan accounts; Reconcile general ledger accounts and maintain accurate financial
operations (including billings, accounts receivable, general ledger, accounts payable, etc.) Ensure the
operations (including billings, accounts receivable, general ledger, accounts payable, etc.) Ensure the