candidate will be a professionally qualified accountant or CA(SA) (having completed either SAICA, SAIPA with Generally Accepted Accounting Principles (GAAP) or relevant accounting standards. 2. Regulatory Qualification BCom or BAccounting degree Professional Accountant or CA(SA) - SAICA, SAIPA or CIMA articles completed understanding of financial management principles, accounting practices, and relevant regulations. Proficiency
aligned with company goals. Manage accounting operations including accounts payable and receivable, payroll ledger. Requirements Bachelor's degree in Finance, Accounting, or related field Previous experience in Architecture/Interior
aligned with company goals. Manage accounting operations including accounts payable and receivable, payroll ledger. Requirements Bachelor's degree in Finance, Accounting, or related field Previous experience in Architecture/Interior
monthly cash counts to ensure accuracy and accountability in cash handling processes Audit the processes transferring cash between the bank and company accounts Ensure that all client interactions and transactions authorized and justified Review and reconcile clearing accounts to ensure accuracy Audit banking rights and permissions
monthly cash counts to ensure accuracy and accountability in cash handling processes Audit the processes transferring cash between the bank and company accounts Ensure that all client interactions and transactions authorized and justified Review and reconcile clearing accounts to ensure accuracy Audit banking rights and permissions
include but are not limited to: Accounting up to management accounts Reconciliations Managing a team
include but are not limited to: Accounting up to management accounts Reconciliations Managing a team
the following: Leading and overseeing financial accounting operations to support business expansion and decision-making, delivering regular management account reviews to executives. Optimizing month-end closing Promoting a culture of continuous improvement and accountability within the finance department. Driving Return
the following: Leading and overseeing financial accounting operations to support business expansion and decision-making, delivering regular management account reviews to executives. Optimizing month-end closing Promoting a culture of continuous improvement and accountability within the finance department. Driving Return
queries. Forwarding relevant documentation to the Accounts department for sign-off. Handling all chargebacks