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Search Results: 7 vacancies
- ...ensuring robust accounting controls. Key Responsibilities: Prepare and review monthly management accounts, trial blances, and bank reconciliations Maintain accurate general ledger entries and daily data captures Develop cash flow forecasts and analyse revenue...
- ...based in George . POSITION INFO: Key Responsibilities Prepare and review monthly management accounts, trial balances, and bank reconciliations Maintain accurate general ledger entries and daily data captures Develop cash flow forecasts and analyse...
- ...software (e.g., Xero, Sage, or QuickBooks) Process supplier invoices, customer invoices, receipts, payments, and journals Reconcile bank statements, credit card statements, and petty cash Maintain and reconcile the general ledger Assist in preparation of monthly...
- ...and ensure that payments are made Perform credit control: Ensure that debit order information is updated and liaise with the bank Collect money from clients electronically (where applicable) Advise relevant parties of unpaid items Context: Financial Services...
- ...Responsibilities Assist with the preparation of monthly management accounts Process invoices, payments, receipts, and journals Perform bank, creditor, and debtor reconciliations Maintain general ledger and ensure accuracy of entries Assist with VAT, PAYE, and other...
- ...transactions in Pastel Prepare and submit LBS (PAYE) to SARS Prepare and submit VAT returns to SARS Reconcile accounts and bank statements Provide general administrative support within the finance department Assist with other accounting and financial tasks...
- ...management team. Assist in preparing the monthly budget and controlling operational expenses to optimize profitability. Reconcile bank deposits, handle petty cash, and ensure accurate record-keeping for audits. Inventory & Supply Chain Oversee food, beverage,...