20Jun
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 CategoryFinance and Accounting

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