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- ...About the Role Our client, a respected player in the banking sector, is currently seeking an experienced Trust Administrator to join their professional team. The ideal candidate will have a solid background in trust and fiduciary administration, excellent organisational...
- ...SUMMARY: We are seeking a Relationship Manager, Business Banking, for a permanent role based in Gqeberha, Eastern Cape. POSITION INFO: Applicants are required to meet the following criteria: ~ Grade 12 with NQF6 ( BCom ) in Banking, Finance / Commercial...
- ...a fast-paced, deadline-driven environment. Key Responsibilities Perform daily bookkeeping and accounting tasks, including: Bank and credit card reconciliations Accounts payable and receivable General ledger maintenance Month-end and year-end closings...
- ...date financial records Perform full bookkeeping function up to trial balance Process customer and supplier invoices Reconcile bank statements and general ledger accounts Manage debtors and creditors Prepare and process journals, accruals, and prepayments...
- ...daily accounting operations, and ensuring compliance with financial regulations. Key Responsibilities Bookkeeping Cash Book & Bank Reconciliations Create and code cash book entries Identify and correct client coding errors Reconcile bank and petty cash...
- ...Responsible for the preparation and submission of the weekly cash flow report to the respective Accountant Processing of payments in the bank system Processing of payments & receipts in the Finance system Manage the CFC accounts and analyses all foreign exchange...
- ...The Staff Accountant will assist the department with monthly close, billing, bank reconciliation and performs various functions in ensuring effective maintenance of an organizations fixed assets and depreciation schedules. Daily activities including but not limited...
- ...Hospitality and Service Training Experience Energetic, proactive person with well-developed concept of the importance of providing a world-class guest experience and the ability to provide that experience. Motivated individual ready to go the extra mile for guests and...
- ...of cash book transactions into the general ledger Prepare VAT balance sheet reconciliations and ensure timely payments Prepare bank related balance sheet reconciliations General ledger administration: Responsible for the month end close procedures Daily...
- ...management. Statutory responsibilities to assist with compliance to law and financial regulations. Authorizing payments on ERP and banking platform. Authorizing general journals. Coordinate the annual external financial audit. Assist with developing and...
- ...junior technicians, and new team members. Focus on developing technical skills, professionalism, and system proficiency to build a world-class metrology team. Data Analysis & Reporting Provide accurate measurement and SPC data to support management decision-making...
- ...Company Description We are SGS – the world’s leading testing, inspection and certification company. We are recognized as the global benchmark for quality and integrity. Our 93,000 employees operate a network of 2,600 offices and laboratories, working together to enable...
- ...bookkeeping functions for multiple entities, including: Capturing financial data Managing debtors and creditors Processing bank statements and reconciling accounts Run payroll and submit all relevant statutory returns: Prepare payslips Submit EMP201 and...
- ...including capturing income, expenses, journals, inter-company transactions, and allocations. ~ Conduct daily reconciliations of all bank accounts, debtors, creditors, and control accounts. ~ Maintain real-time financial records in compliance with accounting standards...
- ...to trial balance Capturing VAT Capturing and reconciling supplier and customer invoices Managing debtors and creditors Bank and cash reconciliations Capturing daily fuel and retail sales Inventory management and stock reconciliations Assisting with...
- ...Elizabeth, EC. The client is a managed service provider, dedicated to providing ICT solutions that are tailormade for our clients. By using world-leading technologies we pride ourselves in improving the way our clients do business. Responsibilities: Software Development...
- ...cash book transactions into the general ledger. Prepare VAT balance sheet reconciliations and ensure timely payments. Prepare bank related balance sheet reconciliations. 3. General Ledger Administration: Responsible for the month end close procedures. Daily...
- ...of cash book transactions into the general ledger Prepare VAT balance sheet reconciliations and ensure timely payments Prepare bank related balance sheet reconciliations General ledger administration: Responsible for the month end close procedures Daily...
- ...Mantis is a leading, conservation-focused hotel group with eco-lodges, waterways and eco-escapes located all over the world. Sustainable travellers have been enjoying eco-tourism, safaris and adventure travel with Mantis since 2000. Rooted in conservation, Mantis pursues...
- ...and manage accounts receivable. Process all vendor invoices and accounts payables. Maintain the general ledger. Reconcile bank statements on a monthly basis. Reconcile inventory on a monthly basis. Record monthly journals required to finalize the monthly...
- ...to the Financial Manager and plays a key role in supporting the company’s financial operations. Key Responsibilities Perform bank account reconciliations and cashbook administration Process and administer sundry sales transactions Prepare monthly general...
- ...Responsibilities (including but not limited to): Recording day-to-day financial transactions for group entities. Reconciling bank statements and general ledgers. Assisting in the preparation of financial reports and summaries. Handling accounts payable and...
- ...Mantis is a leading, conservation-focused hotel group with eco-lodges, waterways and eco-escapes located all over the world. Sustainable travellers have been enjoying eco-tourism, safaris and adventure travel with Mantis since 2000. Rooted in conservation, Mantis pursues...
- ...day-to-day bookkeeping. Handle customs documentation, declarations, and coordinate with clearing agents. Process and reconcile bank statements, accounts payable and receivable. Prepare monthly management accounts and financial reports. Process invoices,...
- ...of financial information. Support general business needs with ad hoc finance-related tasks. Key Tasks: Month-End Process: Bank reconciliations, general journals, balance sheet account reconciliations, pre-payment adjustments, and operating cost reconciliations...
- ...Internal controls and process improvements. Foreign exchange (both receipts and payments). Liaising with local stakeholders (banks, insurance, etc.). Please note that only shortlisted candidates will be contacted. Should you not receive a response within two weeks...
- Vodafone Global Enterprise is part of the Vodafone Group, dedicated to simplifying the management of global communications for the world's largest multi-national companies. Specialists in enterprise mobility, Vodafone Global Enterprise focuses on implementing mobility strategies...
- ...Account. Process journal entries when necessary. Allocate payments and credit notes accurately to customer accounts. Download bank statements in the absence of relevant staff and trace unidentified payments. Prepare and submit the Monthly Debtors Report....
- ...Accurately record and manage all financial transactions, including accounts payable, accounts receivable, general ledger entries, and bank reconciliations. Financial Reporting : Prepare detailed financial statements, including balance sheets, income statements, and...
- ...Company Description SGS is the world’s leading Testing, Inspection and Certification company. We operate a network of over 2,500 laboratories and business facilities across 115 countries, supported by a team of 99,500 dedicated professionals. With over 145 years of...