Statements and other accoutning reports, submit to management. Oversee accounts payable and receivable, bank bank reconciliation, payroll and cash management and inventory monitoring. Oversse stock control process financial reports using income and expenditure Managing financial accounting and accounting software used
is looking for an Accounts Manager to join their department: The Manager will be responsible for: Overseeing Overseeing monthly and annual accounting operations Managing the financial advisory and accounting team and recommendations to enhance financial performance. Manage all internal financial invoices of the office with of accounting and tax principles Experience in managing within an accounting practice Excellent analytical
Springs, East Rand are looking for a Financial Manager (CA) SA to join their team. CA (SA) is a prerequisite Debtors department management Creditors department management Treasury function management Intercompany loans loans reconciliations management Exports accounting and FEC function Insurance Improvement of processes accruals Management of Balance sheet reconciliations. Monthly preparation and analysis of management results results Management of fixed asset register. Preparation of annual budget. Input in preparation of Financial
seeks a Financial Manager for its Retail Division at its Head Office. The position manages 5 direct reports Systems and Control: - Financial transaction management. - Internal controls implementation. - Financial improvement. - Financial systems management. - Process improvement. Cash Flow Management: - Cash flow forecasting and reviews. - Compliance reporting. Employee Management. Requirements: - A bachelors degree in finance certifications such as Chartered Institute of Management Accountants (CIMA), or Chartered Accountant (CA)
Distributors currently has a vacancy for a Financial Manager to be based fulltime at our Head Office in Vereeniging directly to the Managing Director and the main function of this position is to manage the Financial Department financial statements and reports for management review. Manage cash flow, including forecasting and monitoring Implement and maintain internal controls to safeguard assets. Analyse financial data to identify trends and and recommendations to support decision-making. Manage finance team and provide guidance as needed. Liaise
Systems and Control: - Financial transaction management. - Internal controls implementation. - Financial improvement. - Financial systems management. - Process improvement. Cash Flow Management: - Cash flow forecasting and reviews. - Compliance reporting. Employee Management. Requirements: - A bachelor's degree in finance - At least 5 years of experience in financial management, accounting, or related roles. - Demonstrated Strong organisational and time management skills to meet deadlines and manage multiple tasks.
is looking for an Accounts Manager to join their department: The Manager will be responsible for: Overseeing Overseeing monthly and annual accounting operations Managing the financial advisory and accounting team and recommendations to enhance financial performance. Manage all internal financial invoices of the office with of accounting and tax principles Experience in managing within an accounting practice Excellent analytical
industries. They value their time and require a reliable lead generation partner that delivers results role As a Customer Success Manager, your role encompasses account management, sales/marketing, and cold based on trust Professionalism, maturity, and reliability to meet the expectations of successful entrepreneurs 5pm CST Professional remote work setup including reliable internet, high-quality audio and video equipment
reporting and monitoring of control environment. Manage forecasts & budgets. Gather historic financial (quarterly). Prepare final budget and forecasts for management Financial and operational reporting/authorisation Administration of fixed assets. Preparation and capture of acquisitions and disposal of assets. Comply to IFRS (IAS16) standards regarding the accounting of fixed assets according to the standard. Annual review of residual life. Maintain and update fixed asset register. Reconcile GL with asset register. Depreciation runs WHAT
equipment depreciation and deferred taxation and asset register maintenance Reconciliation of loan accounts Calculation and posting on interest on financial assets and liabilities Processing transactions on accounting accounting systems Preparation of monthly management accounts Financial Statement, audits and support file