Accountant - Western Cape DUTIES WILL INCLUDE, BUT ARE NOT LIMITED TO: Responsible and accountable for full accounts receivable and payable function Filing and administration Responsible and accountable for of OPEX funding schedules and reconciliations Accounting for fixed assets as well as custodianship of Assistance with the population of our management account packs Ensuring the completeness and accuracy of Tax, including maintenance of the VAT control account and preparation of the month-end VAT reconciliations
Senior Financial Accountant - Western Cape A merchant services provider who provides cost-effective point-of-sale processing times, is looking for a Senior Financial Accountant to join their team based in Century City, Cape Responsible for the preparation of month-end management accounts and supplementary reports for submission to group and month-end duties performed by the Financial Accountant and bookkeeper Responsible for compiling monthly monthly VAT calculations submitted by the Financial Accountant Assist with ad hoc merchant reconciliations and
Senior Financial Accountant - Western Cape A merchant services provider who provides cost-effective point-of-sale processing times, is looking for a Senior Financial Accountant to join their team based in Century City, Cape Responsible for the preparation of month-end management accounts and supplementary reports for submission to group and month-end duties performed by the Financial Accountant and bookkeeper Responsible for compiling monthly monthly VAT calculations submitted by the Financial Accountant Assist with ad hoc merchant reconciliations and
including its property portfolio, to oversee accounts payable and receivable, and conduct other tasks administration, and reporting to Group Company Accountant. DUTIES & RESPONSIBILITIES, NOT LIMITED TO: outstanding accounts To engage with municipalities to ensure optimal rates and utilities accounts Be responsible the property administration of the Properties accounting, financial and secretarial services herein, to that they are managed in accordance with sound accounting and business practice, which shall include but
including its property portfolio, to oversee accounts payable and receivable, and conduct other tasks administration, and reporting to Group Company Accountant. DUTIES & RESPONSIBILITIES, NOT LIMITED TO: outstanding accounts To engage with municipalities to ensure optimal rates and utilities accounts Be responsible the property administration of the Properties accounting, financial and secretarial services herein, to that they are managed in accordance with sound accounting and business practice, which shall include but
bookkeeping functions required: Work with and alongside Accounts Department in order to provide support in the Monthly Statement downloads and distribution XERO Accounting daily transaction allocations Support in vendor processes Working with creditors and debtors Handling account queries Receipt and allocation of payments Monitoring Monitoring and following up on outstanding accounts Sorting and filing of financial records Reconciliations supervision A working knowledge of Sage Accounting and XERO Accounting or similar. Personal Skills/Attributes:
bookkeeping functions required: Work with and alongside Accounts Department in order to provide support in the Monthly Statement downloads and distribution XERO Accounting daily transaction allocations Support in vendor processes Working with creditors and debtors Handling account queries Receipt and allocation of payments Monitoring Monitoring and following up on outstanding accounts Sorting and filing of financial records Reconciliations supervision A working knowledge of Sage Accounting and XERO Accounting or similar. Personal Skills/Attributes:
channel through the development of existing and new accounts, agent/distributors and other customers in such customers, determining customers needs, monthly key account meetings, trade visits, competitor analysis, reporting customer relationships, demonstrating personal accountability. Deliver Plans: Align customer and channel
channel through the development of existing and new accounts, agent/distributors and other customers in such customers, determining customers needs, monthly key account meetings, trade visits, competitor analysis, reporting customer relationships, demonstrating personal accountability. Deliver Plans: Align customer and channel
ledger accounts on a recurring basis, including posting monthly journal entries, completing account reconciliations