supplier invoices and loading payments on the banking system. Perform supplier reconciliations and maintain and accounts receivable. Record general journal entries, including accruals, provisions, and prepayments
supplier invoices and loading payments on the banking system. Perform supplier reconciliations and maintain and accounts receivable. Record general journal entries, including accruals, provisions, and prepayments
functions Competence in performing and reconciling bank transactions Knowledge of tax legislation, encompassing financial transaction records, including journal entries, ledgers, and financial databases Qualifications
functions Competence in performing and reconciling bank transactions Knowledge of tax legislation, encompassing financial transaction records, including journal entries, ledgers, and financial databases Qualifications
to / from Shared Service to process accounting entries Cash flow management to maintain accuracy of treasury
to / from Shared Service to process accounting entries Cash flow management to maintain accuracy of treasury
Serve as a Bank Signatory responsible for authorizing EFT payments and updating creditor banking information
Qualifications: CA(SA) or ACMA/GCMA 2-3 years of experience Banking industry experience is essential Financial and
Qualifications: CA(SA) or ACMA/GCMA 2-3 years of experience Banking industry experience is essential Financial and
years' experience in Private Equity, Investment Banking, Corporate Finance or M&A Strong valuations