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
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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
management • Business analysis • Preparation and reconciliation analysis and advise on improvements needed Product Fund accounting experience • Strong reconciliations and controls experience • Analytical thinker
Review bank and suspense reconciliations and prepare other general reconciliations Prepare information for Management of monthly salary and weekly wage reconciliations and payment of a monthly benefits (UIF, bargaining
relevant reconciliations i.e. bank reconciliations, creditor's reconciliations, VAT reconciliations etc.
keeping up to trial balance.
trial balance Bank reconciliations Accounts receivable Payroll Creditors reconciliations Other duties that
le for trade creditors reconciliation and supplier statement reconciliations
le for trade creditors reconciliation and supplier statement reconciliations
out crucial reconciliations. Key Performance Areas: Handle monthly financial reconciliations. Assist the sub-ledger and general ledger accounts, including reconciliations to control accounts. Requirements CA(SA) who
out crucial reconciliations. Key Performance Areas: Handle monthly financial reconciliations. Assist the sub-ledger and general ledger accounts, including reconciliations to control accounts. Job Requirements: CA(SA)