Suivez les offres comptabilité actuelles autour de Cape Town, Afrique du Sud, puis utilisez la carte pour comparer les pôles proches et les options de candidature.
La liste visible reste pratique: postes, entreprises, lieux, salaires et liens directs quand ils existent.
The Part-Time Bookkeeper will be responsible for maintaining accurate financial records, reconciling transactions, and ensuring smooth day-to-day bookkeeping using QuickBooks. This is a key role in su
Minimum Requirements: Diploma or Degree in Accounting or Finance 2–3 years’ experience in a Financial Accounting role Strong reconciliation and reporting skills Excellent attention to detail and
SENIOR ACCOUNTANT – Durbanville, Cape Town, Western Cape R50 000 – R60 000 per month (Negotiable based on relevant experience and qualifications) Our client, an established global data and analyti
Job Description: Job Purpose: This dual-purpose role requires a versatile finance professional to provide transactional leadership and act as the finance support in managing a strategic project to
We are looking for a highly skilled General Ledger Accountant with strong technical accounting expertise, exceptional attention to detail, and a solid background in complex financial reporting environ
We are looking for a Accounts Receivable Accountant to provide financial, administrative and clerical services. Responsibilities Review and process credit notes Clearing of outstanding deductions
Job Description : This role is critical for ensuring the financial integrity and operational efficiency of an established property asset management firm. Positioned within a high-output environment,
Requirements:Â Bachelorâs degree in Accounting, Finance, or related field 2â5 years of accounting experience (depending on seniority level) Experience in a multinational environment beneficial
Are you a Junior Accountant with strong full function accounting experience looking to grow within a dynamic finance environment? An opportunity is available for a hands-on finance professional with s
Key Responsibilities Maintain and reconcile the Cash Book to bank statements and General Ledger Reconcile all General Ledger and clearing accounts Monitor ledger accounts and ensure correct alloc