financial records and GL accounts Monthly journal entry processing Drive month-end and year-end close procedures management experience Fully qualified CA (SA) / CIMA or equivalent Previous experience in managing a
Westville. Duties include but not limited to: Journal Entries – provisions, accruals, depreciation Capital management
Maintaining a balanced general ledger.Reconciling entries to balance subsidiary accounts.Defining bookkeeping
be a definite benefit. Completed SAIPA, SAICA or CIMA articles will be a distinct advantage and knowledge Finance or similar. CIMA designation required – CGMA, ACMA, FCMA. Completed SAICA, SAIPA, CIMA articles preferred Business Central. Advanced Excel with knowledge. If not CIMA qualified, must have 3 years' experience in a similar
verbal and written communication skills at all levels in English – works closely with the Accountant account reconciliations. Prepare of general journal entries. Prepare balance sheet reconciliations. Control allowance payments. Perform the payroll journal entries to ensure cost to company has been recorded. Understanding control, processing of stock, reviewing of stock entries performed. Planning a project, loading onto Acumatica
Professional qualification and completed articles (CA/CIMA/PA) will be beneficial Proven experience in financial
Parktown. Experience & Requirements: New CA or CIMA / BCom with 2-5yrs experience with stock Strong
Parktown. Experience & Requirements: New CA or CIMA / BCom with 2-5yrs experience with stock Strong
in Accounting or Finance required.
Required: