Group Accountant to join their team of professionals in the Northern Suburbs. The Group Accountant is a responsible for managing and overseeing the accounting operations within the company. This position whilst displaying leadership and guidance to the accounting team. Responsibilities: Oversee the preparation ensuring accuracy, compliance, and adherence to accounting standards. Ensure compliance with tax regulations organization. Continuously evaluate financial and accounting processes for efficiency gains and strategic
companies is currently seeking a Group Financial Accountant to join their team of professionals in the Northern markets. The Group financial accountant will be responsible for month-end accounting and reporting processes This opportunity allows for the Group Financial Accountant to transition into a Financial Manager over time time. Responsibilities: Month End: Preparing loan account reconciliations and product development cost calculations subsidiaries' management accounts Tax calculations Preparing group consolidated management accounts Year-end Audit:
seeking a skilled Accountant to join their team within Somerset West. As an Accountant, you will be responsible accurate financial records, doing monthly management accounts, processing invoices and payments, preparing VAT encompassing bookkeeping, handling accounts payable, and managing accounts receivable. Perform monthly bank degree in Accounting, Finance, or a related field. Minimum of 3 years of professional accounting experience experience. Strong knowledge of accounting principles, practices, and regulations. Proficiency in Sage Online
companies is currently seeking a Group Financial Accountant to join their team of professionals in the Northern markets. The Group financial accountant will be responsible for month-end accounting and reporting processes This opportunity allows for the Group Financial Accountant to transition into a Financial Manager over time time. Responsibilities: Month End: Preparing loan account reconciliations and product development cost calculations subsidiaries' management accounts Tax calculations Preparing group consolidated management accounts Year-end Audit:
when applicable New entity set-up - from a SARS, Accounting package and CIPC perspective Legal agreement meetings Compiling meeting agenda's and minutes ACCOUNTING: Audit oversight and management Overseeing complete complete and accurate trial balances Accounting system changes and improvement implementation Focusing and live reporting Reconciling Sales system and Accounting system Reconciling 3rd party platform reports role Degree in Finance or Accounting non-negotiable Xero and Syft accounting software experience preferable
when applicable New entity set-up - from a SARS, Accounting package and CIPC perspective Legal agreement meetings Compiling meeting agenda's and minutes ACCOUNTING: Audit oversight and management Overseeing complete complete and accurate trial balances Accounting system changes and improvement implementation Focusing and live reporting Reconciling Sales system and Accounting system Reconciling 3rd party platform reports role Degree in Finance or Accounting non-negotiable Xero and Syft accounting software experience preferable
handling customer queries and disputes, reconciling accounts, and proactively identifying areas for improvement collections as necessary. Regularly review aged accounts receivable (AA) and ensure maximum collections debt collections and account handover. Reconcile independent and chain store accounts and follow up on outstanding limits. Monitor credit limits, place order holds on accounts where necessary, and gather required information manager review. Ensure that information on aged accounts receivable (AA) includes all relevant customer
handling customer queries and disputes, reconciling accounts, and proactively identifying areas for improvement collections as necessary. Regularly review aged accounts receivable (AA) and ensure maximum collections debt collections and account handover. Reconcile independent and chain store accounts and follow up on outstanding limits. Monitor credit limits, place order holds on accounts where necessary, and gather required information manager review. Ensure that information on aged accounts receivable (AA) includes all relevant customer
be responsible for managing all aspects of the accounts payable process, including processing invoices reconciling vendor statements. The Creditors Clerk will work closely with other departments to ensure timely payments to vendors. Key Responsibilities: Processing accounts and incoming payments in compliance with financial classifying, computing, posting and recording accounts payable data. Liaising with internal departments petty cash Completing credit application for new accounts Managing client queries and follow up with clients
be responsible for managing all aspects of the accounts payable process, including processing invoices reconciling vendor statements. The Creditors Clerk will work closely with other departments to ensure timely payments to vendors. Key Responsibilities: Processing accounts and incoming payments in compliance with financial classifying, computing, posting and recording accounts payable data. Liaising with internal departments petty cash Completing credit application for new accounts Managing client queries and follow up with clients