Full Time
Centurion
Posted 10 months ago
Candidate Key Performance Outputs
- Processing transactions to cashbooks daily
- Maintain & reconcile cashbooks to bank statements daily
- Unallocated cash is investigated and dealt with in a timely manner
- Post interest on the bank accounts to respective Cost Centres
- Preparation of Balance Sheet reconciliations
- Ensure audit deliverables are maintained according to the standard required by the auditors (Internal / External)
- Assist in preparation of cost/profit centre reports, by maintaining and providing analytical assistance
- Maintain filing on a monthly basis
- Identify & implement annual change objectives
Candidate Requirements/Experience
- Matric
- Relevant Diploma/Degree or studying towards
- Minimum 3 years related experience
- VAT knowledge essential
- SAP knowledge advantageous
- Intermediate MS Office
If you have not been responded to within 21 days of the closing date please accept that your application was not successful.
Job Features
| Job Category | Finance and Accounting |
