The Financial Accountant will handle the month-end functions of balance sheet reconciliations, VAT returns counts Maintaining accounting ledgers by verifying and posting journal entries and account transactions. Preparation Preparation and review of monthly management accounts Performing other related duties, as assigned. Special experience in an accounting environment. Key Competencies: Technical – Knowledge of accounting principles related related to accounts payables and accounts receivables. Knowledge of foreign currencies. Technological
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Full accounting function - debtors, creditors, cash book, and relevant monthly journal entries including Projects. Support Finance & Company Accountant, Management Accountant & Finance & Controlling Manager
inter-company invoices)
We are seeking a JNR Financial Accountant who will report directly to the Finance
foreign)
We are recruiting for a FACTORY COST ACCOUNTANT for our client within the automotive industry located in PE Factory. PURPOSE OF THE JOB To process accounting and financial documentation to enable reporting Import cost files and submit summary to Management Accountant for update to SAP. Assist and support in scanning scanning / other projects. Stand in for Management Accountant in his absence. Assist with correction and maintenance Management Accounting or related fields (NQF 6). Honours Degree in Finance / Management Accounting or related
seeking to employ an experienced and dynamic Sales Account Executive to their team. This role is based out
medium sized Accounting and Auditing firm in Port Elizabeth, is looking for an Accountant (SAIPA / SAICA SAIPA). Minimum Requirements: BCom degree in Accounting. Completed Articles (either SAICA or SAIPA).
Description Our client is seeking for a skilled Accountant who will be based in Gqeberha to join their dynamic EXPERIENCE AND QUALIFICATIONS/TRAINING •SAGE Evolution accounting or Pastel Partner (recent) •A minimum of 5 years' balance •Drafting and commenting on management accounts for review •Interest calculations •Processing statistics •Prepare and balance inter-company loan account and invoice recharges •Recording and reconciling reconciliations for all Balance Sheet General Ledger accounts •Preparation of audit files and liaison with external
Processing of accounting records onto a computerised accounting system resulting in an accurate and complete Supervise and train junior and intermediate accountants Key Duties and Responsibilities – Key Performance and reconciling of Petty Cash and cash control accounts Keeping of a fixed asset register General journals Reconcile debtors and creditors statements. Correct accounting treatment on disposal of assets (property, plant Analytical review of AFS – GP%, Inventory days, Creditors days, Debtors days Ability to record books from insufficient