The primary focus of the Cashbook Teamleader / Settlements Lead is the daily reconciliation of retail store receipts and maintenance of the cash and bank function which includes reconciliation and accounting for all retail store receipts (cash deposits, credit card and other) and dealing with reconc
The primary focus of the Cashbook Teamleader / Settlements Lead is the daily reconciliation of retail store receipts and maintenance of the cash and bank function which includes reconciliation and accounting for all retail store receipts (cash deposits, credit card and other) and dealing with reconc
A UK-based accountancy firm, with an excellent reputation for delivering high levels of expertise and client-focused service, is looking to hire their first bookkeeper in South Africa. As the bookkeeper, you will be working in or around the Cape Town area and reporting to the UK-based team. You will
environment Experience with relevant accounting and cost control software packages Experience with budget financial and accounting reporting system. Ability to train users (project managers and cost controllers). Exceptional
reconcile general ledger accounts.
Extensive knowledge of finance, accounting, budgeting, cash flow, cost control principles, and Generally Accepted
approval - vetting & assessment of accounts/renewals and control of all mandates - Interface with Sales
The Junior Accountant is responsible for assisting the Financial Manager in performing the Accounts payable function, assisting with other financial transactions and ledger entries, assist with monthly reporting, and ensuring compliance with accounting principles. Financial Transactions Full Account
The incumbent will be doing decision-support functions (Debtors/ Cashbook/Stock/Assets & General Administration) and ensure that Reporting is in line with Company Policy, IFRS requirements and industry policies. Assist with timeous compilation and issuing of our FIVE entities Management Accounts
A major accounting firm based in the Western Cape is looking to fill a posistion for a Accountant. • Supervise and initiating the processing of client information cheques, receipts, sales invoices, purchase invoices • Perform bank reconciliations • Processing and reconciling of Petty Cash and