behind a desk” kind of position. The Management Accountant will be operationally involved across the Business Business's finance operations. The Management Accountant will act as a Finance Business Partner for their objectives. BCom Degree in Management Accounting, Financial Management, Accounting or equivalent CIMA or studying essential 5 Years' experience as a Management Accountant Experience in one or all of the following industries:
Ref: PAM 415600 - Logistics Administrator – Import and Export – Durban Employer Description Company specializes in Production and Supply of Autoparts. Job Description Your duties will encompass: Coordinate Road & Sea Logistics function in line with responsible destination. Administrate the l
Ref: PAM 415638 - Quality Assurance Engineer (Automotive) – KZN Employer Description Manufacture of automotive components. Job Description Your duties will encompass: Develop SOP, Work Instruction, and forms for assembly process to achieve customer requirements. Analyses any customer complaints an
Supply within their defined group of customers Accountable for achieving volume, margin,growth targets and customers and designated geographical area Overall accountability for managing commercial customer relationships projected area requirements Hold annual quality account review meetings with major customers within the responsibilities: Review, manage and renegotiate account contracts as deemed necessary Work closely with agreements in place with Oryx at all times Manage accounts credit limits to ensure compliance with Oryx credit
We are looking for a Key Account Manager to join the team Understanding of Business and Customer Develop Prepare comprehensive Strategic & Tactical account plans, outlining objectives, actions, resources years of related experience in the Account Management / Sales / Account Management position Valid driver's to multitask and manage more than one customer account
Contracting and RPO services is seeking a Financial Accountant to join their operations. Manage the entire region's region's finance function including financial accounting and budgetary control. Preparation of the region's management accounts (Profit and Loss Statements). Resolve queries related to management accounts timeously communication. Ensure the integrity and reliability of accounting information recorded in the regions Trial Balance tertiary qualification in Finance or Management Accounting 2 years' experience in a financial role coupled
transactions. Reconcile accounts and maintain financial records. Full accounting function up to Trial Balance depreciation calculations. Day-to-day accounting operations including accounts payable/receivable, general ledger
Responsibilities Daily reconciliation of company bank account disbursements and receipts Daily reconciliation system Reconciling of receipts processed from bank account to client ledger Reconciling and monitoring of Financial sector Diploma or relevant qualification in Accounting or Finance will be advantageous To be discussed
Monitoring of bank accounts and business credit cards Daily backup of Pastel accounting records Preparation S-cubed payroll system Compile monthly management accounts in an accurate and timely manner. Monitor all variances to Senior Manager. Drive accounts receivable and suspense accounts management, and all other balance Advanced level of technology literacy and Pastel Accounting systems is required. Demonstrate a high level Qualification Relevant qualification in Finance/Accounting In-depth knowledge of bookkeeping and year end
operations. Minimum Requirements: Bachelor’s degree in Accounting or a related field 2 to 4 years of experience attention to detail Comprehensive knowledge of accounting practices Duties and Responsibilities: Address debtors’ and creditors’ books and Statements of Accounts Coordinate with banks to investigate and resolve items Ensure accurate monthly processing of key account entries Calculate staff loans, insurance, and prepaid expenses Enter relevant financial data into in-house Accounting Software Maintain and update the asset register