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  • Posted: Nov 10, 2022
    Deadline: Not specified
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    TLT Appointing provides recruitment serves via a team of specialist recruitment consultants in the following areas Finance, HR, IT & Telecommunications, Financial Services, Engineering, FMCG & Retail, Consulting & Professional Services, Public Sector, Executive Search
    Read more about this company

     

    Intermediate Software Developer

    Job Description

    • Develop and maintain in-house solutions
    • Write code within the prescribed technologies and environments, and to comply with coding best practices
    • Comply with  IT selected technologies and development environments, development, and management methodologies
    • Learn and develop within  architecture
    • Investigate and report on technologies as and when needed
    • Implement systems enhancements to meet business need
    • Implement solutions from specifications
    • Correct system bugs/errors on existing systems
    • Provide accurate estimates and effort for code changes
    • Adhere to project plans

    Qualifications

    • A BSc Computer Science, Electronic Engineering, a BComm Business Information Systems (BIS) Degree, or a very high quality Technikon Diploma
    • Salesforce Certification preferred

    Experience

    • 4+ years development experience in .NET or another C-style language

    Additional Information

    All your information will be kept confidential according to EEO guidelines.

    go to method of application »

    Finance administrator

    Job Description

    • Perform day to day processing of financial transactions
    • Ensuring that quotations, orders, goods received notes and invoices are matched accordingly
    • Process transactions from bank statement into relevant subsidiary and SPV cash books in the general ledger daily
    • Uploading of payments onto banking system
    • Allocate and post details of all business transactions to accounts in the ledger
    • Reconciles and balances accounts

    Perform month-end closing of financial transactions

    • Reconcile the bank statements to the general ledger during the month and at month end ensuring all reconciliations and supporting documentation is saved for review.
    • Reconcile the individual attorney fee reconciliation reports from IT to legal fee database and instruct Disbursement Clerk to load the attorney payment on the CAT system by the 7th of every month or sooner
    • Send XML fees and Fee reconciliation statements to the attorneys by the 10th of every month or sooner
    • Prepare intercompany invoices between Holding Co and related parties.

    Ad hoc

    • Investigate and follow up on queries received from attorneys
    • Back up function to daily disbursements and creditors when

    Qualifications
    Education

    • Matric and
    • Accounting qualification or progress towards an accounting qualification or bookkeeping qualification

    Experience

    •    At least 2-4 years accounting/bookkeeping experience within a finance department

    Method of Application

    Use the link(s) below to apply on company website.

     

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