One of the TOP banks in S.A. is currently looking at filling a maternity role as a JSE Equity Settlements
the business – DEBTORS, CREDITORS, PETTY CASH, BANKING ACCOUNTS, STATUTORY RETURNS and monthly reporting asset registers · Preparing and balancing of the bank reconciliations, suppliers and customers · Propose Ensure compliance with all statutory requirements and laws · Support and prepare for the annual financial audit
the business – DEBTORS, CREDITORS, PETTY CASH, BANKING ACCOUNTS, STATUTORY RETURNS and monthly reporting asset registers · Preparing and balancing of the bank reconciliations, suppliers and customers · Propose Ensure compliance with all statutory requirements and laws · Support and prepare for the annual financial audit
timely and accurate submissions. Stay updated on tax laws and regulations to minimise tax liabilities. Collaborate payment and journal review processes. Banking and Treasury: Manage banking relationships and optimise treasury minimizing risks. Continuously seek ways to improve banking and treasury operations. Team Management: Lead Strong understanding of financial regulations, tax laws, and compliance requirements. Excellent analytical
timely and accurate submissions. Stay updated on tax laws and regulations to minimise tax liabilities. Collaborate payment and journal review processes. Banking and Treasury: Manage banking relationships and optimise treasury minimizing risks. Continuously seek ways to improve banking and treasury operations. Team Management: Lead Strong understanding of financial regulations, tax laws, and compliance requirements. Excellent analytical
the Technical Trainer (also referred to as the Lecturer) will be to teach students the necessary skills contained in briefs and the assessment policy The lecturer is perceived as fair, approachable and supportive
Financial Manager when necessary. Key Performance Areas Bank & cash - full function Property plant & Inventory General Reporting Bank & cash - full function First review of monthly bank reconciliations (Local) (Local) Preparation of monthly bank reconciliations (Foreign) Reviewing and releasing payments and providing petty cash reconciliations nationally Reporting on bank balance daily to H/O Property plant & equipment reconciliations for Gauteng Releasing of payments on the bank as first releaser Reconciliation of AP sub-ledger
property matters. Stay updated on relevant property laws, regulations, and industry trends to provide accurate and informed legal advice. Bachelor's degree in Law (LLB) or equivalent qualification. Admission as an preferably with a focus on property law. Strong knowledge of property law regulations and relevant legislation
property matters. Stay updated on relevant property laws, regulations, and industry trends to provide accurate and informed legal advice. Bachelor's degree in Law (LLB) or equivalent qualification. Admission as an preferably with a focus on property law. Strong knowledge of property law regulations and relevant legislation
upholding ethical standards and adhering to all relevant laws and regulations governing security operations. Integrity surrounds Clear criminal record SARS Certificate Bank Account Verification Police Clearance Certificate