Search Results: 174 vacancies
Looking for a qualified and experienced accountant specializing in Bank reconciliations. Previous use of Munsoft Financial Reporting System highly preferable.
To start immediately.
...movement report and short-term cash flow predictions.
Management of the Forex requirements and processing.
Maintenance and reconciliation of the Fixed Asset register.
Reconciliation and preparation of monthly VAT returns.
Job Experience and Skills Required:...
...bookkeeping, cashbook and creditors.
Maintain Fixed Assets Register and depreciation
Maintain Amortisation schedules
Account reconciliations
Solid knowledge of MDA / MRI Property Systems
Must be able to do management accounts and monthly KPI and management...
...Inventory and Cost of Goods management
Accounts Payable
Debtors Management
Fixed Assets
Maintenance of credit card reconciliation tracker
Maintenance of petrol card tracker
Tax & VAT
Support of any Internal audits
Job Experience and Skills Required...
...procedures
Good Excel skills
Monthly management reports
Ensure compliance with regulations
Bank, Debtors, Creditors reconciliations
Perform ad hoc investigations and reports when requested
Preparation of monthly journals
Reconciling monthly balance...
...full accounting function (including all general ledger accounts and inventory).
Journal and general ledger transactions and reconciliations.
Balance sheet reconciliations.
Weekly and monthly preparation and financial analysis of management accounting figures....
...include, but are not limited to:
Accounting up to Trial Balance (preferable XERO or Sage One Accounting)
VAT201’s and VAT Reconciliations
Payroll up to reconciliation – EMP201 and EMP501’s (Simplepay)
SARS:
VAT and other registrations
PAYE and UIF registrations...
...Responsibilities include but are not limited to:
Overseeing the full financial function
Budgeting and forecasting
Reconciliations
Statutory compliance
Minimum Requirements:
BCom degree
Recently signed off articles or 3 years’ experience
Accounting...
...and reviewing month-end processes and files promptly for interfacing with the General ledger
Preparing and reviewing monthly reconciliations on various technical insurance balances and profit commission calculations
Reviewing reconciliations and requisitions for...
...Key Responsibilities:
Crafting and organizing all journal entries with meticulous precision.
Compiling balance sheet reconciliations to ensure integrity and accuracy.
Orchestrating budget and financial forecast preparations, analyzing variances, and reporting...
R 23,000 - 25,000 per month
...Knowledge and understanding of accounting principles
Knowledge and understanding of processes
Knowledge and understanding of reconciliations
Knowledge and understanding of financial system
Knowledge on statutory regulations and standards
Experience &...
R 30,000 - 35,000 per month
...Contracts etc
~ Fully Bilingual
Responsibilities:
Management of Debtors Clerk
Daily capturing and updating of bank reconciliation
Weekly petty cash reconciliation, including transfers from branches and cash up from debtors clerk
Strict control of...
...Willing to work overtime as and when required
Responsibilities:
Monthly bank statement processing on Pastel Partner
Bank reconciliations
Monthly VAT201 & EMP201 submissions
Bi-Annual EMP501 submissions
PROVTAX calculations
Customer and Supplier invoice...
...meeting pack, attend to action items, follow up on signed documents.
Efficiently manage trust bank accounts: administration, reconciliations, compliance documentation.
Prepare documentation: accurately prepare basic trust documents governing different transactions...
...preparing tax documents to compiling detailed financial statements and overseeing budget processes. They will ensure accurate reconciliations of bank statements to balance sheet and maintenance of the General Ledger. The role demands proactive handling of audits, tax reconciliations...
...services experience. The ideal fit is someone who may be ready to progress to the next level. In this role, you will manage the reconciliations, statutory compliance, and financial reporting and present to the board. Career advancement is certainly on the table with this...
...allocations, price, etc.) – ensure matching to valid POD & authorised purchase orders.
Supplier credit notes
Supplier month-end reconciliations
Resolve all supplier queries as soon as possible where there are:
Differences between supplier statement & account recon...
...* Maintain Trial Balance
* Overseeing Full Accounting function ( Including ALL General
Ledger Accounts)
* Balamce Sheet reconciliations
Preparation of Audit documents, Annual Budget
* Assist in Financial Statements * Bank Payments
* Clean Criminal & Credit...
...Transporter Onboarding
Transport Planning (Booking and Route Allocation)
Transporter Monitoring
Transport Query Management
Reconciliations (Transport and Diesel)
Road Transport Reporting (Daily, Weekly, and Monthly)
Monitor WhatsApp groups and respond in real...
...INFO:
Supervise and manage finance staff responsibilities.
Monitor and control revenue systems office
Oversee issuing, reconciliation and re-banking of S&T, toll fees and submission to payroll
Supervision of stock-takes
Deputies for accounting manager in...