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- ...experience in a similar role will be advantageous Responsibilities: Capturing and reconciling invoices and payments Assisting with bank reconciliations and general ledger entries Supporting month-end processes General office and admin duties If you're a...
- ...management practices Provide financial insights to support business decision-making Lead and mentor the finance team Manage cash flow, banking relationships, and funding requirements Collaborate with executive team on strategic financial planning Ensure compliance with...
- ...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...
- ...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...
- ...invoices Rebates VLP PBR Monthly billing invoices Service plan and warranty billing Receipting payments received (Bank) – receipting portal Allocations of GL accounts / Cash Control / Vehicle Debtors / Certain AR and AP accounts Clearing till accounts...
- ...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,...
- ...vehicles to customers and internally to other branches in accordance with our procedures.•Delivering to and fetching of documentation from banks, suppliers, Internal within the company and customers.•Maintaining cleanliness of premises. •Maintaining the integrity of the...
- ...applicable creditors and cashbook financial reports. It includes the full responsibility for the relevant creditors age analysis and bank reconciliations. The processing of financial transactions includes managing creditors by matching invoices to purchase orders and...
- ...exciting team of Developers who have a strong passion for development! POSITION INFO: A continuously growing company within the banking industry is looking for a Java Developer to join their successful team, providing software solutions to design, develop and...
- ...Engineering Degree, grounded in structure, systems, and smart design Sharpened by real-world battlefields—FinTech platforms, digital banks, payment gateways, and the wild terrain of APIs and microservices Experienced in the ways of the Product Owner—mapping backlogs,...
- ...Life Support) 4. ALS (Advanced Life Support) If interested, please send the following to -train.co.za Updated CV ID Bank Statement SARS Certificate Police clearance The following is required: Driver's License and PDP (Not compulsory but would...
- ...Processing of credit notes Daily follow up on outstanding accounts (COD and accounts) Submitting weekly Stucky downloads to the bank for our invoice factoring Weekly emails to top customers following weeks estimate order and top up payments Filing of customer...
- ...Prepare financial documentation for grant applications, lender packages, and investor materials. Serve as a point of contact for banks, funders, and investors, assisting with due diligence and application processes. Client-Focused Financial Services Offer financial...
- ...Process sales transactions accurately and efficiently, following proper procedures. Reconcile daily till sales and complete banking activities with accuracy and integrity. Maintain product knowledge to confidently assist and educate customers. Support promotional...
R 30,000 per month
...management. Maintain accurate and up-to-date financial records, ensuring compliance with accounting principles. Process and reconcile bank transactions, accounts payable, and accounts receivable. Manage day-to-day bookkeeping tasks, including invoicing, expense...- ...reconciliations and ensure timely, accurate VAT submissions and payments. Prepare monthly management accounts and reports. Reconcile bank statements and manage banking relationships. Process depreciation and ensure proper asset classification and disposal....
- ...SUMMARY: We are seeking a dynamic and analytically minded Chartered Accountant (CA(SA)) who has completed their articles in the banking sector - through the TOPP Program to join the Ultra HNW team of a top Private Bank in SA . This role would be taking on Ultra HNW...
- ...in line with business core values, and supportive of learners' progress through the schools Complete day to day processing and banking transactions, where this is not covered by the outsourced accounting function Develop cash flow forecasts to show the cash requirements...
- ...trusted advisor relationship with key (existing and prospect) biller stakeholders Identify and develop strategic partnerships – banks, referral partners, etc. Explore innovative new solutions and collaborate across the business to grow the business Act as the...
- ...Board Notice 51 of 2017 (FSCA). A BCom or similar degree with majors in Finance, Economics, Accounting, Investment Management or Banking A postgraduate diploma in a financial planning or investment-related field (highly beneficial) Industry certifications like RE...
- ...accuracy and compliance. Responsibilities Process supplier and customer invoices, credit notes, statements, and payments Perform bank, supplier, and account reconciliations Maintain and update the fixed asset register, including tagging and verification Post...
- ...Debtors and Creditors Accurately and timeously reconcile Debtor & Creditor accounts on a monthly basisAccurately and timeously reconcile bank accounts Capture all Accounting transactions efficiently and accurately on Xero, QuickBooks & e-WorksAccurately and timeously...
- ...accounting software (Business Central). Maintain accurate financial records for all farm/agricultural activities. Daily processing of bank accounts, full responsibility for the debtors function, review monthly payments and processing of month-end journals. Ensure all...
- ...of the construction firm. This will include tasks such as managing accounts payable and receivable, processing payroll, reconciling bank statements, and preparing financial statements. Our client is a well-established construction firm known for their commitment to...
- ...portfolio of clients, client liaising, sorting and filing of financial records, monthly accounting processing up to trail balance, monthly bank reconciliations, VAT reconciliations, VAT201 submissions, preparation of year-end schedules to support the preparation of annual...
- ...documentation Assists in other areas where required General accounting records and reconciliations: Prepares cash books and bank reconciliations Prepares supplier reconciliations Maintains the fixed assets registers including the tagging and location...
- ...Office (Word, Excel, PowerPoint) ~ Strong attention to detail ~ Able to meet deadlines and work under pressure DUTIES: Bank Reconciliations: Perform daily reconciliations of multiple bank accounts, including trust and business accounts Business...
- ...totally unacceptable for sales staff not to know the marketing pack information at an expert level. Handling of cash, credit cards, bank transfers and cheques in accordance with the Companys policies, standards and regulations pertaining to this. Providing excellent...
- Setting up accounting & financial management system Quickbooks essential SAIPA & CIPC registered Preparing payments and bank recons Invoicing, monthly processing & resolving queries CIPC and VAT Compliance Income Tax Budgets and Monthly Management...