Accountant to shadow their Senior Accountant and assist with the Financial Accounting side of the business include, but are not limited to: Business Manager: Assisting FM in overall Financial management, processes journals in Fincon including month end journals Assist with FNB debtors finance audit Petty cash management invoicing for all relevant accounting entities Assisting with audit requirements for all entities Loading companies Compliance Certificates are up to date Assist with BBBEE audit Inventory management on Fincon
manufacturing environment Duties and Responsibilities: Assist in month-end closing, prepare journal entries as Prepare cost reporting analysis per product category Assist in compliance with legislation Analyse cost accounting analyse Inventory and Margin Reports Support and assist with audit schedules, tax schedules and others
manufacturing environment Duties and Responsibilities: Assist in month-end closing, prepare journal entries as Prepare cost reporting analysis per product category Assist in compliance with legislation Analyse cost accounting analyse Inventory and Margin Reports Support and assist with audit schedules, tax schedules and others
ensure accurate reporting Assist with audits Assist with month-end processes Assist on adhoc tasks as requested
Administrator will drive best in class practices to assist internal, as well as external customers to ensure manage CSP billing process end to end with the assistance of internal stakeholders. Understand, initiate initiate, and drive process flows. Track, manage and assist with enablement on CSP Renewals, Recurring and Company. Assist with internal reports (i.e. Usage Reports, Reseller Reconciliation files etc.). Assist with with management personnel, customers, and vendors Assist area personnel as needed. Keep management informed
monthly balance sheet recons Assist with preparing annual budgets Assist with compliance Job Experience
journals • Assist with annual audit preparations. • Ad-hoc accounting duties • General assistance to the
Prepare purchase orders and expense reports. Assistance with month end stock take. Maintain inventory Department. Petty Cash Claims and reimbursements. Assistance with Annual Audit. Qualifications: Experience
culture • Effective delegation of duties and tasks • Assist in financial audits and implement audit recommendation aimed to assist Ops Managers who are not financially orientated through setting up, assisting, reviewing
creditors reconciliation. Updating Cash books. Assist with management accounts when required. Job Experience