but not limited to: Cash book processing Bank reconciliation Journals Bond accounts Loan accounts Stock Stock counts / Inventory counts Reconciliation of loan accounts Salary processing Supplier invoices Goods received notes Supplier reconciliations Debtor reconciliations Rental reconciliations VAT - Capturing of info Supplementary declaration reconciliations (SD recons) EMP501 reconciliations Working papers for monthly documentation Compilation of management accounts Bank reconciliations Salary processing/importing/mapping Calculation
to):
Financial reporting
Reconciliations
Bank
Credit cards
Debtors management
Straight-line income reconciliation
Suppliers Processing and reconciliation
Accruals Processing
Processing and reconciliation
Processing Journals
Processing Provisions
Submission and processing
Reconciliations
Bank
Credit cards
Petty Cash
Deposits
Control Accounts/
/>Straight line income reconciliation
Suppliers Processing and reconciliation
Accruals Processing
Processing and reconciliation
Processing Journals
Processing Provisions
Submission and processing
Account Reconciliation Bank Statement Reconciliation Petty cash allocation and reconciliation Manage Daily / collections Proven experience in account reconciliation Basic understanding of bookkeeping and accounting
industry. Review and Reconciliation: Conduct thorough reviews and reconciliations of the following: Balance Sheet Bank reconciliations Accounts payable reconciliations Accounts receivable reconciliations Intercompany compile monthly management accounts. Perform reconciliations for month-end close procedures. Analyze performance against budget and prior year. Review revenue reconciliations from HubSpot to Xero. SARS (South African Revenue
update and maintain the general ledger
Reconciliation of entries into the accounting system
Recording
trial balance, by a reconciliation of general ledgers
Account reconciliation to assert the accuracy
level
SARS submissions for PAYE/VAT
Bank reconciliation
Must have had experience in Pastel
update and maintain the general ledger
Reconciliation of entries into the accounting system
Recording
trial balance, by a reconciliation of general ledgers
Account reconciliation to assert the accuracy
balance Capturing and reconciliation of all bank accounts Monthly reconciliation of petty cash accounts accounts Capturing and reconciliation of all creditors Preparation and loading of ad-hoc, weekly and monthly Fixed Asset Register maintenance Balance sheet reconciliations Capturing of purchase orders and taking ownership
/ Pastel) including Bank reconciliations
- Management / reconciliation of debtors / creditors on
Register maintenance
- Intercompany loan reconciliations
- Monthly Management Accounts Pack preparation
- VAT201 review, reconciliation and submission on efiling
- Income Tax
daily cashbooks Prepare daily and monthly bank reconciliations Reporting on transactions to management Queries Reconcile cash sales Assist with general admin and reconciliations such as fuel cards, reimbursement claims and
daily cashbooks Prepare daily and monthly bank reconciliations Reporting on transactions to management Queries Reconcile cash sales Assist with general admin and reconciliations such as fuel cards, reimbursement claims and