Accounts Clerk required for well-established Transport and Logistics Company in George . Full functions function of Creditors Payroll for weekly staff DA's Account queries EFT payments Answering of switchboard Administration
function of Creditors Payroll for weekly staff DA's Account queries EFT payments Answering of switchboard Administration
Accounts Clerk required for well-established Transport and Logistics Company in George . Full functions function of Creditors Payroll for weekly staff DA's Account queries EFT payments Answering of switchboard Administration
CAW005631-MU-1 Admin Clerk - Knysna - Western Cape Our client in Knysna is looking for an Admin Clerk to join their
CAW005631-MU-1 Admin Clerk - Knysna - Western Cape Our client in Knysna is looking for an Admin Clerk to join their
looking for a highly skilled and detail-oriented Accountant to join their finance team in Oudtshoorn. The performing various accounting tasks. Responsibilities: - Keeping basic accounting records of clients - VAT processing for clients on Xero and Sage Accounting - Handling of SAID inquiries and submission of income tax and VAT returns. - Execution of basic accounting procedures - Reconciliation of financial information Microsoft Word, Excel, Outlook, Xero and Sage Accounting. - Bilingualism in both Afrikaans and English
CAW005646-CH-1 Senior Accountant, George - Western Cape If you have a passion for accounting and auditing, uphold Education/Qualifications Required: Completed SAICA training contract - Audit & Assurance elective. CTA completed
CAW005646-CH-1 Senior Accountant, George - Western Cape If you have a passion for accounting and auditing, uphold Education/Qualifications Required: Completed SAICA training contract - Audit & Assurance elective. CTA completed
Accurately enter daily financial transactions into accounting software. Maintain records of receipts, invoices and other financial documentation. Manage Accounts Payable and Receivable : Process supplier invoices and follow up on outstanding payments. Reconcile Accounts : Reconcile bank statements with the company's ledger. Allocate expenses and income to appropriate accounts. Prepare Financial Statements : Generate monthly transactions and ensure correct allocation to relevant accounts. Handle payroll-related queries and issues. Support
Accurately enter daily financial transactions into accounting software. Maintain records of receipts, invoices and other financial documentation. Manage Accounts Payable and Receivable : Process supplier invoices and follow up on outstanding payments. Reconcile Accounts : Reconcile bank statements with the company's ledger. Allocate expenses and income to appropriate accounts. Prepare Financial Statements : Generate monthly transactions and ensure correct allocation to relevant accounts. Handle payroll-related queries and issues. Support