...Job Title: Senior Recruitment Consultant- Finance and Banking
Company Overview:
Boardroom Appointments is a leading recruitment agency. With a track record of success and a commitment to excellence, we are seeking dynamic and results-driven Senior Recruitment...
...export experience advantageous
~ Proficiency in Navision software advantageous
Responsibilities:
Daily Cashbook processing and Bank reconciliation
Processing of Monthly journals
Ensuring Insurance claims are followed up and finalized.
Analysis of...
...address concernsGive advices to clients about insurance coverage, investment planning, cash management or any other areas in order to help them reach their financial goalsRegularly review clients bank and other accounts and analyze their financial data to understand if...
...maximize positive Cash Inflows as relates to Rand and Foreign Bank Accounts.
Reporting
~ To collate and analyse monthly results... ...Ad Hoc assignments such as due diligence evaluations and post investments audits.
Risk Management and Governance
Management of all internal...
...documentation
preparation of weekly cash flow information
all balance sheet and income statement reconciliations (including creditors, bank and stock reconciliations)
preparation of daily, weekly and monthly sales reporting
preparation of ad hoc reports
assisting...
...with Own Driver.
.Valid Vehicels Goods Permit.
.Copy of Vehicles Documentation And proof of Residence
.Effective 3 months Bank Statement
.Original South Africa ID
.Drivers License (Drivers And Owner).
If interested, Kindly Forward all required document...
...export experience advantageous
~ Proficiency in Navision software advantageous
Responsibilities
Daily Cashbook processing and Bank reconciliation
Processing of Monthly journals
Ensuring Insurance claims are followed up and finalized.
Analysis of...
...with Own Driver.
.Valid Vehicels Goods Permit.
.Copy of Vehicles Documentation And proof of Residence
.Effective 3 months Bank Statement
.Original South Africa ID
.Drivers License (Drivers And Owner).
If interested, Kindly Forward all required document...
...governance forums
Implement approved strategies, plans, and processes, including disciplined planning and prioritisation of IT investment
Management IT projects
Apply technology to enable business processes and transform data into actionable insights
IT/OT...
...Month-end recons
Assist in completion of Metair – Pack and compiling company tax returns.
Review journals for posting and all bank debits and credits.
Insurance Renewal
Compiling of Company Tax Returns
Monthly management reports.
Assist with stock take...
...Responsibilities:
Daily, weekly & monthly exception reports.
Review and release of daily local and weekly foreign payments via the banking platform.
Maintaining Master Sales Price Files on the ERP system.
Weekly review of the Wages Exception Reports & Variance...
...accounts
Liaise with suppliers and account managers to resolve inaccuracies in computing values
Typing of correspondence
Banking and Petty Cash
Maintain records of cash sales and follow up on payments and managing cash payments
Purchasing - office supplies...
...actioned so that all financial accounting transactions the team is responsible for are reflected in the trial balance
Electronic banking – this will involve loading suppliers, making payments, internal transfers on banking system
Daily, Weekly, Monthly,...
...financial statements in time
Handle monthly, quarterly and annual closings
Reconcile accounts payable and receivable
Ensure timely bank payments
Compute taxes and prepare tax returns
Manage balance sheets and profit/loss statements
Report on the company’s...
...reconciliation of Diesel Usage and Calculation
• Manage Traffic Fines and recover cost from responsible parties
• Manage E-Toll / Banking Reconciliations
• Working with Electronic Reports from outside suppliers
• Briefing and debriefing of drivers
• Co-ordinate...
...daily cashflow.
Load EFT Payments and Foreign payments on the Bank
Weekly SAP Interface check (Bank transactions)
Prepare and... ...of Sundry debtors receipts on SAP – F-28 posting
Maintain Investment Schedules
Bank Reconciliations (Two Banks and Two investment...
....
Manage general ledger entries and ensure accuracy in financial records.
Oversee accounts payable and accounts receivable processes.
Reconcile bank statements and maintain balance sheets.
Assist with budgeting and forecasting.
Conduct internal audits...
...years’ experience as a Financial Advisor
- Self motivated and driven individual
- Goal orientated
- Must be able to sell and advise clients on Retirement, investment and Risk planning
- Must have own transport and laptop
Candidates who can start ASAP are preferred
...# Provide strategic financial guidance to senior management to support business growth and expansion initiatives.
# Evaluate investment opportunities and conduct financial analysis to assess their viability and potential return on investment.
# Collaborate with cross...
...Responsibilities:
Assist in financial analysis and reporting tasks.
Conduct market research and analysis to support investment decisions.
Assist in the preparation of financial statements and reports.
Help in the management of financial data and records...
...Implementing and analyzing risk procurements for granting of credit
4. Concluding credit transactions and making recommendations to all major banks
5. Assisting Business Development Officer in obtaining targeted sales volume and fee income by providing an effective sales support...
...Netstock system.
Item group rationalization.
Accountable for Supplier Master Data on ERP system:
Supplier risk profiles and bank account Verification with verification agencies.
Reviewing and inactivation of dormant suppliers on ERP system.
Performing...
...ledger entries.
# Utilize Pastel Sage accounting software to record financial transactions accurately and efficiently.
# Reconcile bank statements and maintain accurate financial records.
# Prepare and process invoices, purchase orders, and expense reports.
#...
...reconcile accounts payable and receivable.
Verify and process invoices, ensuring accuracy and adherence to company policies.
Bank Reconciliation:
Reconcile bank statements and resolve any discrepancies.
Monitor and manage petty cash transactions....
...files for presentation to auditors.
Manage submission of CIPC annual returns.
Oversee creditor management processes.
Execute bank transaction processing into accounting software.
Perform reconciliation of bank accounts and petty cash.
Manage foreign bank...
...include but are not limited to;
Weekly Cashflow management.
Vat calculation and submission experience.
Multiple entities Bank Accounts Credit cards reconciliation on Xero.
Accurate GL allocations and ability to review P&L & Balance Sheet.
Debtors...
...other. That means youll enjoy great career development working for an expanding organisation. Because were a not for profit trust, we invest every penny we make in the people who live in our homes and the people who work here too. This means better quality care and lovely...
...activities fully executed and on time -career development, IMP, increases etc
• Accident repairs for light Vehicles managed
• Standard bank recons fleet card acquisition overseeing
• Allocations of costs - to cost centres and distributions to cost centres overseen
• SAP...
...-Review accuracy and approve salary related payments against supporting documentation
-Monthly payroll statistical reporting
-Banking administration, resolve any related queries, ensure users updated at all times
-Submission of Staff training schedules, ensure compliance...
...competitor company will be an added advantage.
Knowledge and Skills
New business targets
Client relationship management
Investment Industry Knowledge
Investment monitoring and compliance
Directs and coordinates the development of complex financial solutions...