Manage property management financial department at head office on a day-to-day basis in the absence of the support employees at the head office finance department in terms of accounting standards & principles. Maintaining Maintaining & improving standards work and any other requirements. Facilitate portfolio managers' Recon of Cashup cashbook vs trial balance Banking importing all bank transactions & performing allocations & transaction check in accordance with above Bank statements saved daily Please visit our website
Capex and an understanding of IFRS the accounting standards. Qualifications: CA(SA) 2 years post articles advise CEO accordingly. Provide support to the heads of the company and budget managers during the budget regulatory and good governance requirements and standards Please visit our website www.communicate.co.za
with the full financial functions related to the banking industry? If you are ready to make your next career experience in a similar role Previous experience in the Banking Industry (advantageous) Technical accounting experience
Creditors invoicing Preparing payments VAT and Tax Bank reconciliations Petty cash management Credit collection
description: Preparing financial reports and statements Bank reconciliations Conducting cyclical audits for Property
Processing daily cash books and preparing of monthly bank reconciliations Processing supplier invoices Processing
monthly management accounts Financial reviews with Heads of departments Annual budgets Risk management Foreign
with preparing financial reports and statements,bank reconciliations , and conducting cyclical audits
rolls and rental statements Disbursement statements Bank reconciliations. Ensuring all invoices for the period
projects Execute the implementation of IFRS 17 standards and relevant amendments impacting the group Conduct