
Financial Assistant -JHB
Permanent ·
Requirements:
Cashbook Capture daily bank transactions (approximately 1000 transactions per month), accurately and timeously. Reconcile all bank accounts (RSA and International) on a weekly basis. Identify, investigate and clear unreconciled items promptly. Maintain proper records of all bank transactions and reconciliation reports. Prepare and process electronic payments and intercompany transfers. General Assist with general financial requirements. Ensure adherence to internal controls, financial policies, and approval procedures. Maintain confidentiality and accuracy in all financial records. Assist with preparation for internal and external audits. Assist in implementing best practices for banking and cash management. QUALIFICATIONS Matric Bookkeeping qualification EXPERIENCE 2 – 4 years of experience in bookkeeping and cashbook
Description:
Fraser Alexander is a leading supplier of services to the mining industry, a global partner adding value to mining, waste and infrastructure through smart solutions. Our offering includes mineral processing, tailings dam construction and tailings management. We are looking to attract key talent to add to our existing pool of highly sought-after professionals. Job Description To support the finance department by managing day to day banking transaction, reconciling bank accounts, and ensuring accurate and timely financial processing in line with company policies and procedures.
Company: Fraser Alexander