participate in various stages of financial accounting. Key performance areas · Assist with Creditor reconciliations register – to ensure validity and completeness · Assist in maintaining chart of accounts and monthly managment
participate in various stages of financial accounting. Key performance areas · Assist with Creditor reconciliations register – to ensure validity and completeness · Assist in maintaining chart of accounts and monthly managment
Function To participate in various stages of Financial Accounting. Minimum Requirements Diploma / NQF Finance, BCom Accounting preferred. Job Requirements Assist with Creditor reconciliations Prepare monthly Accrual register – to ensure validity and completeness Assist in maintaining chart of accounts and monthly managment
equipment through the provision of electrical services in accordance with applicable legislative and material required to perform tasks
reconciliations and financial performance reporting Providing timeous, meaningful, high-quality financial information accounting handbook Closing General Ledger for financial reporting purposes in due time
classify, and record numerical data to keep financial records complete. Perform any combination of routine posting, and verifying duties to obtain primary financial data for use in maintaining accounting records Submit to Financial Manager for sign off Submit monthly cash flow requirement to Financial Manager Stamp
classify, and record numerical data to keep financial records complete. Perform any combination of routine posting, and verifying duties to obtain primary financial data for use in maintaining accounting records Submit to Financial Manager for sign off Submit monthly cash flow requirement to Financial Manager Stamp
classify, and record numerical data to keep financial records complete. Perform any combination of routine posting, and verifying duties to obtain primary financial data for use in maintaining accounting records it to Financial Manager for signoff
classify, and record numerical data to keep financial records complete. Perform any combination of routine posting, and verifying duties to obtain primary financial data for use in maintaining accounting records Submit to Financial Manager for signoff Submit monthly cash flow requirement to Financial Manager Stamp
and financial performance reporting.