Accurate and timely entry of financial transactions into the accounting system. Data Entry: Efficiently capture SECONDARY: Data Capturing: Accurate and efficient entry of client information into the system. Admin Support:
Pastel Partner and ability to process: Cash books entries and bank reconciliation. Debtors, Creditors, and necessary. Checking and posting of recurring Journal entries. Capturing of orders and creditors invoices when
Accountant, located in Durban. Duties: Journal Entries Balance Sheet Recons Client Service – Monthly support
Accountant, located in Durban. Duties: Journal Entries Balance Sheet Recons Client Service – Monthly support
Accountant, located in Durban. Duties: Journal Entries Balance Sheet Recons Client Service – Monthly support
Accounts Manager, located in Durban Duties: Journal Entries Sheet Balance Recons Client Service – Monthly support
Accountant, located in Durban. Duties: Journal Entries Balance Sheet Recons Client Service – Monthly support
Accountant, located in Durban. Duties: Journal Entries Balance Sheet Recons Client Service – Monthly support
Provide routine management information on inventory levels, consumption, and costs. Coordinate with Finance Prepare and/or review tax and vat returns, journal entries, and monthly audit files. Assist with fixed assets
Provide routine management information on inventory levels, consumption, and costs. Coordinate with Finance Prepare and/or review tax and vat returns, journal entries, and monthly audit files. Assist with fixed assets