Get new jobs by email
- ...experience is needed Gr12 with subjects: Mathematics and Accounting Strong Computer Skills Attention to detail Good record keeping of cash transactions Accurate balancing and reconciliation Able to work under pressureOther requirements: Required to work shifts and...
- ...and the chance to contribute to a Finance function focused on improving processes, strengthening controls and supporting the wider business. Purpose of the role The Cash & Banking Executive will sit within the Cape Town Finance Centre of Excellence and report to...
- ...’s reach for the stars. We have amazing opportunities for a Cash Monitoring Operator to be based in Durban, Kwa-Zulu Natal . Do... ...with other duties within the boundaries of Risk Management and Control. Providing “On the Job” training and mentoring for new recruits...
- ...Cash Book Clerk required for a reputable company based in Stutterheim, Eastern Cape Requirements : Diploma in accounting/ bookkeeping... ...Excel skills at intermediate level. Knowledge of cash book controls, reconciliations, invoicing and payment methods. Good...
- COMPANY DESCRIPTION Global Shared Services (GSS) is a critical asset for Anglo American and De Beers enabling the delivery of functional service work for Finance & People Services to all Business Unit and Group Functions. The vision for Global Shared Services (GSS...
- ...Job Summary The Senior CMO (Cash Management Operations) Officer plays a pivotal role within Standard Chartered’s Cash Management Operations... ...Group standards and regulatory requirements, ensuring robust control environment. Support the development, implementation, and...
- ...Service Restaurants based in the V&A Waterfront is looking for a Cash & Banking Assistant. This role would require both Excel and... ...Ensure all banking activities comply with company policies, internal controls, statutory requirements, and financial procedures. Requirements:...
- ...job This role is responsible for performing and supporting the Cash Management & Reconciliations function within Product Finance,... ...The position involves hands-on operational support, maintaining controls and governance standards, resolving queries, and contributing to...
- ...logistics team to ensure sales quantities match delivery notes Prepare debtor-related balance sheet reconciliations Treasury & Cash Management: Daily cash flow reporting and forecasting Post cash book transactions to the general ledger Prepare VAT balance...
- ...Department Head to oversee the day to day operations of the Refunds, Cash Administration and Collections functions. The successful... ...policies, procedures, legislative requirements, and operational controls. Maintain and update departmental policies, procedures, and process...
- ...Join IZI South Africa as a Cash Processing Tellers in Cape Town. Are you great with cash, super organized, and love making sure things run smoothly? IZI South Africa , is looking for a reliable Tellers to join our team in Cape Town . If you're an SA citizen and...
- ...Join IZI South Africa as a Cash Processing Supervisor in Cape Town . Are you great with cash, super organized, and love making sure... ...Manage and monitor loss prevention and loss reduction controls Ensure and monitor adherence to procedures and policies with...
- Are you an analytical finance professional with a passion for treasury operations and cash forecasting? Our client, a leading global energy company, is seeking a Cash Forecasting Analyst to join their finance team.
- ...above finalize your application by clicking apply below Purpose Statement ~ To contribute towards the effective functioning of Cash, Supply Chain and Properties (CSP) by applying analytical and process management techniques in a designated department to identify areas...
- ...Purpose of Job Executing the day-to-day activities within the Bank and Cash environment with necessary accuracy and within set deadlines. Ensure adequate governance and internal controls are exercised, adhering to IFRS. Recruitment Description / Key...
- ...Assisting with balance sheet reconciliation. Creating company reports as required. Performing supplier reconciliation. Cash book Cash book processing for the US, SA & UK. Prepare monthly bank reconciliations, investigating and resolving variances....
- ...Performance Areas: (not totally inclusive and Limited to): Onboarding new clients on the Icash System Working Closely with the Cash centres across the Business with any and all Queries. Onboarding Vendors and Debtors on SAP Processing and capturing Correct...
- ...will be responsible for ensuring financial accuracy, strengthening controls, and supporting operational performance across multiple... ...reconciliations, controls, and reporting processes ~ Monitor cash flow and working capital requirements ~ Oversee compliance with...
- ...a passion for driving financial excellence, implementing robust controls, and developing high-performing finance teams. Minimum Requirements... ...and consolidated financial reports. Oversee treasury, cash flow management, VAT compliance, PAYE and statutory submissions....
- ...identify trends, opportunities and areas for improvement Maintain strong financial disciplines, controls and governance processes across the business Oversee revenue and cash management processes, ensuring accuracy and integrity of financial information Drive...
- ...Key Responsibilities Oversee the full financial reporting and control function Prepare accurate monthly management accounts and... ...budgets, forecasts and variance analysis Oversee reconciliations, cash flow and working capital Assist with statutory reporting,...
- ...Job description : Manage the full financial control function Prepare monthly and annual financial reports Monitor compliance... ...Coordinate annual audits and assist with audit queries Manage cash flow reporting and working capital requirements Support budgeting...
- ...Purpose To manage the companys debtor book, ensure timely collection of outstanding monies, and maintain healthy cash flow through effective credit control practices. Key Responsibilities Debt collection Contact clients to collect outstanding payments via phone,...
- ...Key Responsibilities Financial Reporting & Control Assist with planning, implementing, and reporting on financial transactions across... ...and maintain robust internal controls across all entities. Cash Flow & Operations Manage short-term cash flow planning and...
- ...key performance drivers and provide meaningful financial insights to management Ensure effective cash management, daily sales reconciliations, and working capital control Oversee SARS compliance, including VAT, PAYE, and Income Tax requirements Maintain strong...
- ...reconciliations Ensure compliance with financial policies, procedures and controls Manage VAT reconciliations, submissions and payments... ...audit requirements and liaise with external auditors Support cash flow management and treasury-related activities Lead and...
- ...debtors, creditors and payroll reconciliations. Manage daily cash flow, working capital and payment processes. Oversee inventory... ...external audits. Develop and maintain effective financial controls and SOPs. Liaise with banks, auditors and other external stakeholders...
- ...labour, overheads) Monitor key cost drivers including food, labour, and expenses Ensure accurate daily sales reconciliation and cash control processes Ensure SARS compliance (VAT, PAYE, Income Tax) Oversee audit readiness and internal controls Develop and...
- ...energy sector is looking for a commercially astute Financial Controller to take ownership of the financial function and play a key role... ...analysis and insights to support strategic decision-making Monitor cash flow, working capital and overall financial performance...
- ...are looking for an ambitious and commercially minded Financial Controller to join their finance team in Sandton . This is an... ...reconciliations and ensuring strong financial controls Monitoring cash flow and supporting the overall financial performance of the business...