Search Results: 11 vacancies
...decision-making.
Expense Tracking: Monitor project expenses and ensure accurate recording and allocation of costs.
Bank Reconciliation: Perform regular bank reconciliations to ensure accuracy and integrity of financial data.
Budget Monitoring: Assist in monitoring...
...RESPONSIBILITY
The role is responsible for ensuring that all EFT receipts and speed point payments are received and recorded, Reconciliations for Accounts Receivable, Bank Accounts, Payables and all allocated GL accounts are up to date, Resolving of Customer Queries...
...all General Ledger Entries
Daily cash flow forecast update Budgets
Reconciling & Daily Processing of creditors invoices
Reconciliation of bank accounts
Reconciliation of petty cash accounts
Monthly preparing/reviewing reconciliation of all balance sheet...
...required from clients and/or other sources;
• Taking responsibility of monthly financial accounting services;
• Preparing reconciliations of financial statement line items;
• Compiling financial statements;
• Proposing appropriate accounting treatments in line...
...finance systems, preparing financial management information, Maintaining Fixed Assets, Preparation processing of journal entries and reconciliations , Payroll management , Statistical returns , dealing with Auditors.
Conduct audits and internal control assessments...
...extraction plan.
Highly skilled with Whittle pit optimization and scheduling
Long- and medium-term planning.
Reporting, reconciliation, and controls including mass and metal balance.
Ore testing and grade control.
Ore evaluation.
Quality assurance of ore extracted...
...scheduling to the mine.
Preparing and completing Chevron and Crossroads packs and sending to Finance timeously.
Preparing diesel reconciliations on a monthly basis and investigating and reporting on variances.
Enforcement of procurement policies
% ZAR procurement in...
...motivated and plans changed accordingly.
Investigate Employer Compliance Non Compliant Employer
Run or request an employer reconciliation from relevant department/administrator
Determine the extent of non-compliance or compliance by:
Analyzing the...
...Job Location : Northern Cape, Deadline : June 08, 2024 Quick Recommended Links Responsibilities:
~Handling, checking and reconciliation of daily cash;
~Reconciliation of client accounts;
~Filing and general administrative tasks;
~Fuel reconciliation and balancing...
...of the deployment strategy and to identify future design requirements;
Analyze and report performance against Mine Designs (Reconciliation);
Discuss/Highlight any ongoing challenges, as well as recovery plans if not performing against plan;
Provide recommendations...
...ledgers
Administer daily cashflow.
Processing supplier and client invoices for approval and payment
Assisting with reconciliations
Year-end accounts assistance
Streamline financial procedures and administration.
Ad hoc duties as required by the...