Reference: NFR003516-CPi-1 Explore new opportunities today Our client in the hospitality space is currently seeking an Accountant to join their finance team in Rosebank permanently. Job profile: Month-end reporting Preparing journals Balance sheet reconciliations Debtors & Creditors ageing Fixed
Reference: NFR003516-CPi-1 Explore new opportunities today Our client in the hospitality space is currently seeking an Accountant to join their finance team in Rosebank permanently. Job profile: Month-end reporting Preparing journals Balance sheet reconciliations Debtors & Creditors ageing Fixed
projects. Job Experience & Skills Required: Assist with preparing monthly accounts Responsible for Provide weekly reports on key accounts to Finance and Sales Qualifications: Completed BCom qualification 2 years maintaining ledgers, and reconciling accounts Ability to assist in the preparation of financial statements like of cost accounting principles and the ability to assist in cost analysis tasks Attention to Detail Willingness
projects. Job Experience & Skills Required: Assist with preparing monthly accounts Responsible for Provide weekly reports on key accounts to Finance and Sales Qualifications: Completed BCom qualification 2 years maintaining ledgers, and reconciling accounts Ability to assist in the preparation of financial statements like of cost accounting principles and the ability to assist in cost analysis tasks Attention to Detail Willingness
formulate a practical operational expenses budget. Assist in the development of business cases and the calculation deadlines. Prepare Key Indicator (KI) forecasts, sales forecasts, and churn forecasts. Conduct cost calculations scalability from a finance function perspective. Assist in setting up the required infrastructure for Application
with our strategic objectives. Empower teams by assisting in building robust business cases and ROI evaluations and forecasts for key performance indicators like sales and churn rates. Conduct thorough cost calculations the establishment of infrastructure for ASP and assist in treasury, reconciliation, and settlement functions
formulate a practical operational expenses budget. Assist in the development of business cases and the calculation deadlines. Prepare Key Indicator (KI) forecasts, sales forecasts, and churn forecasts. Conduct cost calculations scalability from a finance function perspective. Assist in setting up the required infrastructure for Application
the full accounting functions of the division and assist with their decision making process in driving the Reporting Assisting with daily operations in the business Treasury and cash flow Assisting with Audits
the full accounting functions of the division and assist with their decision making process in driving the Reporting Assisting with daily operations in the business Treasury and cash flow Assisting with Audits
facilitate effective communication and collaboration. Assist with engagements with financial services sector routing requests, submitting applications, and assisting with onsite visits and investigations. Monitor in affiliations to increase industry expertise. Assist with the annual review process of the Regulatory state within Regulatory Affairs and Compliance. Assist with ad hoc overall Group Compliance responsibilities