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Search Results: 22 vacancies
- ...Responsibilities Assist in managing accounts payable and receivable Process supplier invoices, receipts, and payments Perform bank reconciliations and petty cash management Support monthly and year-end reporting Maintain accurate and up-to-date financial...
- ...benefits such as provident fund, GAP, medical aid, and group benefits. Manage all employee records including new hires, terminations, banking detail changes, and other staff movements (e.g., maternity leave). Conduct and document exit interviews for terminated employees...
- ...department on any discrepancies 2. Daily collection from Debtors & follow up on overdue amounts Capture all payments from bank statement and allocated per remittance daily Balance payments received to Bank deposit sheet daily Ensure all debtors get a...
- ...Ensure accurate completion of the month-end workbooks (stocks and payroll). Ensure the correct and timeous completion of all weekly banking. Monitor and ensure that all payments received for advance deposits and guest payments are allocated and posted correctly....
- ...Management: Process invoices, manage accounts payable and receivable, and reconcile balances to maintain financial integrity. Bank Reconciliation: Reconcile bank statements with the general ledger to identify and resolve discrepancies promptly. Financial Reporting...
- ...operations including switchboard, guest communication, and admin tasks Maintaining revenue and occupancy records, handling daily banking, and updating internal systems Overseeing lodge permits, staff uniforms, IT systems, and assisting with wellness and...
- ...software. Ensure transactions are supported by the appropriate documentation and are captured accurately and timeously. Review bank reconciliations. Review and reconcile general ledger accounts. Review and prepare accounting work relating to compilations of...
- ...Responsibilities: - Prepare and analyze financial reports, forecasts, and budgets - Manage accounts payable and receivable - Reconcile bank statements and resolve any discrepancies - Prepare tax returns and assist with tax planning - Provide financial analysis and...
- ...the profit and economic value of portfolios of Growth Business key account clients requiring medium to high complexity commercial banking requirements by focusing: origination efforts to quire new clients. cross-sell to existing client base coverage efforts to...
- ...and reports ~Preparation of annual budget ~Analyse and review capital cost estimates ~Maintain the company’s financial processes, banking activities oversee budget and adjustments ~Direct company’s tax obligations and review tax reduction opportunities ~Review...
- ...compliance, including corporate tax and other statutory returns. Liaise with external auditors and tax authorities as required. Banking and Financial Liaison Establish and maintain relationships with banks and financial institutions. Manage banking facilities,...
- ...policies. Treasury & Cash Flow Management: Optimize liquidity across multiple entities, manage funding strategies, and maintain banking relationships. Tax & Audit Management: Ensure compliance with tax regulations, manage audits, and implement tax planning...
- ...and other internal platforms Assist with the cashflow management Assist with Forex matters (calculations, communication with bank etc.) Assist with bank administration Requirements: BCom degree in Management Accounting or Financial Management Completed...
- ...financial advice to clients on: Lending products: including Residential, Commercial Property, Secured loans Local and international banking requirements Treasury and forex Being a connector and an “enabler” for the clients’ needs into the other divisions of our...
- ...balancing equity and debt payments, investments and risks Safeguard cash assets Monitor and hedge foreign exchange Liaise with the banks Use Spotlight Reporting integrated with XERO, for treasury reports Present annual financial budget to management Review...
- ...Our client is committed to building a financial system that works for all, this includes consumers, merchants, banks, regulators and law enforcement. Fraud and identity are unfortunately still significant challenges for everyone involved in payments and commerce. Our client...
- ...over the counter. Action control check list applicable to teller, enquiries and foreign functions daily. Balance and secure... ...identified by reports. Enable the further processing of inter-bank transfers by preparing all transactional documents and originals...
- ..., reconciling discrepancies, making deposits). Investigate cash shrinkage, counterfeit currency, and discrepancies in safe and bank balances. Reduce cash exposure to prevent robberies and burglaries. Track cash flow between POS and the safe. People Management...
- ...Responsibilities Performing frontline reception duties Checking and capturing of patient data Handling of payment of accounts Account queries Banking EndFragment CLOSING DATE: Monday, 28th July 2025 ~ Administrative / Management jobs...
- ...through the input of application data into EF application systems, including uploading supporting documentation such as payslips and bank statements. # The CC is the primary liaison with EF applicants in terms of application progress, outcomes, and the setup of the...