Prepare, examine and analyse accounting records, financial statements and other financial reports to assess accuracy, completeness and conformance to reporting and procedural standards.
Responsibilities
Prepare, examine, or analyse accounting records and financial statements, to assess accuracy, completeness, and conformance to reporting and procedural standards.
Review Accounts for discrepancies and reconcile differences.
Prepare adjusting journal entries and establish tables of accounts and assign entries to proper accounts.
Daily cash management of the company. Prepare and submit monthly, quarterly and annual statutory returns.
Prepare and review month-end file with reconciliations and documentation to support trial balance.
EDUCATION
B.com degree (Financial accounting) or equivalent
Experience
Completed articles essential
1-3 years post articles work experience in the Financial services/Insurance industry (desirable)
Post Article Consolidation Experience
Experience of general supervision of more junior colleagues (7 to 12 months)
Additional Information
- SAQA Accredited Equivalent - it is the onus of the applicant to provide TIH and its subsidiaries with certified evidence that their qualification(s) meet the equivalent NQF level required for this role at time of application. As a registered Financial Service Provider, we are mandated to ensure that all our representatives are and remain fit and proper at all times. By applying for this role, you consent to having your relevant qualification and or accreditation or confirm that you are working towards meeting the competency requirements. You further consent to the relevant information being verified.