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Jobs » Articled Clerk
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Articled Clerk jobs

There are 23 Articled Clerk-related jobs on Neuvoo South Africa. Apply now and get the ideal job.

Job descriptions and categories including this search

Examples of corresponding job vacancies are Net Architect, Net Developer, Net Software Engineer, Net Web Developer, 3D Artist or Academic Dean. These vacancies are often related to categories like Administration.

Employment statistics

Regions with the largest number of job vacancies related to 'Articled Clerk' are Gauteng or Western Cape. Cities with the highest number of hits are Cape Town, Sandton, Johannesburg or Germiston.

Top employers offering Articled Clerk jobs

Corporations with the most Articled Clerk-related jobs are Unilever, Network Recruitment - IT Executive, O.B Recruitment Solutions, Swift Careers, Premium Placement or Performer Recruitment and Consulting.

Neuvoo South Africa: the the largest job search website across South Africa

Neuvoo South Africa is the largest job aggregator in the country with over 165820 jobs available, 23 of which are Articled Clerk-related.

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PNet |
Sandton, Gauteng
- 1d ago
A Firm of Chartered Accountants in Sunninghill are looking for Articled Clerks that are studying or studied a B Com Accounting Sciences degree and now wish to start their articles with the view...
Prime Personnel. |
Benoni, Gauteng
- 8h ago
Artocled clerks willing to move audit firms, if they busy with 5 years articles, at least in their 3rd and up year. Degree will be a big advantage. Or Trainees with 3 year contracts in their...
Careernet |
Pretoria, Gauteng
- 1d ago
Articled Clerks. Trainee Accountants. Trainee accountants willing to move audit firm, if they busy with 5 years articles, at least in their 3rd and up year. Degree will be a big advantage...
PNet |
Sandton, Gauteng
- 1d ago
A Firm of Chartered Accountants in Sunninghill are looking for Articled Clerks that are studying or studied a B Com Accounting Sciences degree and now wish to start their articles with the view...
Placement Point (Pty) Ltd |
Pretoria, Gauteng
- 10d ago
Job Details. Employer. Placement Point (Pty) Ltd. A well established and dynamic firm based in Pretoria is looking for a. SAICA Articled Clerk. Duties. Perform audits. Independent reviews...
Placement Point (Pty) Ltd |
Pretoria, Gauteng
- 10d ago
Job Details. Employer. Placement Point (Pty) Ltd. A well established and dynamic company based in Pretoria is looking for a. SAIPA Articled Clerk Candidate Requirements. Requirements. Studying...
Career24 |
Randburg, Gauteng
- 10d ago
Job Details. Employer. Recruit. My client, auditors and accountants based in Johannesburg North, is looking for graduate accountants with or without Hons, looking to serve 3 year a...
Placement Point (Pty) Ltd |
Johannesburg, Gauteng
- 10d ago
Job Details. Employer. Placement Point (Pty) Ltd. A well established and dynamic firm based in Johannesburg North is looking for a. Junior Articled Clerk Candidate Requirements. Requirements...
Placement Point (Pty) Ltd |
Johannesburg, Gauteng
- 10d ago
Job Details. Employer. Placement Point (Pty) Ltd. A well established and dynamic firm based in the Northern Suburbs is looking for. SAICA Articled Clerks. Duties. Full SAICA articled clerk...

Fund Accountant Job Information JOB Title               : Fund AccountantREPORTING LINE: Financial ManagerPRINCIPAL OBJECTIVE OF POSITIONThe main purpose of the Fund Accountant is to generate the monthly and annual management accounts for project funds, develop and run financial reports, present financial analysis and findings on the reports and develop and implement the fund budget according to policy, accounting standards and statutory requirementsKEY PERFORMANCE AREAS: Fund Financial ReportingProduce Fund management accounts by extracting relevant reports from the system and preparing the reports in compliance with the Accounting Standards on a monthly basisPrepare management account variance report by maintaining a working knowledge of daily financial activities, analysing transactions and reports, identifying anomalies and addressing issues on a monthly basisResolve queries and issues as identified from the variance report and implement corrective action on a monthly basisCompile and present management accounts and recommendations report to Financial Manager by collating all reports and making recommendations on a monthly basisProduce Fund financial reports by extracting relevant reports from the system and preparing the reports in compliance with the Accounting Standards, comparing and evaluating against monthly management accounts, identifying and addressing any issues or anomalies arising and finalising the financial statements on an annual basisCompile and present financial reports and recommendations report to CRM’s by collating all reports and recommendations identified and verifying that the reports have been prepared are compliant with the Accounting Standards on an annual basis BudgetingPrepare the Fund client budget templates and guidelines by aligning with the accounting guidelines by deadlineTrain and support the relevant Fund management staff to prepare client fund budgets and trustee report submissions by communicating the templates and guidelines and providing coaching and mentoring support on a regular/monthly basis.Manage the system of controls per the signing authorities manual and CSIP process with regards to grant payments by reviewing information and checking compliance with defined authority levels and approval requirements daily Audit and AFSPrepare the audit files and manage the external audit process by collecting required information, compiling into defined reports, submitting to auditors and answering and resolving questions during audit process per agreed plan Key Performance Areas ActivitiesManage the internal audit process, by collecting required information, submitting to internal audit, and resolving any audit queriesProduce the Fund Annual Financial Statements as per IFRS for final review by the financial manager by collecting all reports, collating into defined format, checking for accuracy and completeness and submitting by deadlineOnline Banking AuthorizationMaintain the fund delegations of authority accuracy and compliance by understating the requirements for each fund, checking delegations of authority policies for each fund annually, referring for review and update and implementing amendments within SLAImplement approved delegations of authority into banking platform by updating banking authorities and profiles and submitting proof of update for auditing by annual deadlineApprove payments in line with fund delegations of authority and CSIP process by following the banking online process, gaining relevant authority for payments based on their value and coordinating that payments are made within deadlines and SLA’s Qualifications and ExperienceACIS, ACMA ,or B Com honors in Accounting RequiredCompleted Articled clerkship advantageousDiploma in taxation is preferable3 Years financial management experience2 Years Accounting experience Statutory and RegulatoryComplete and submit all tax returns for all the annuity fund clients per SARS regulations and in a timely mannerSubmit all NPO reports for all fund annuity clients by following the defined submission process and deadlines as set by the department of Social Development annuallyAd hocComplete any other fund accounting functions allocated by the Financial manager, CFO and Client relationship managers by receiving request, implementing and providing feedback within agreed turnaround time. Qualifications and ExperienceACIS, ACMA ,or B Com honors in Accounting RequiredCompleted Articled clerkship advantageousDiploma in taxation is preferable3 Years financial management experience2 Years Accounting experience KEY INTERACTIONS / RELATIONSHIPSFund Management especially Client PortfolioFinanceFund Trustees and ManagementSARSDepartment of Social DevelopmentService ProvidersBanks Preference will be given to South African citizens. Appointments will be made in line with the company’s Employment Equity plan and other required legislation. Candidates with a disability are encouraged to apply. The company will not be liable for interview travel cost or relocation cost. An application will not in itself entitle the applicant to an interview. Only short-listed applicants will be contacted.

Boikago Group |
Johannesburg, Gauteng
- 2d ago
We are looking for a Fund Accountant Job Information JOB Title               : Fund AccountantREPORTING LINE: Financial ManagerPRINCIPAL OBJECTIVE OF POSITIONThe main purpose of the Fund Accountant is to generate the monthly and annual management accounts for project funds, develop and run financial reports, present financial analysis and findings on the reports and develop and implement the fund budget according to policy, accounting standards and statutory requirementsKEY PERFORMANCE AREAS: Fund Financial ReportingProduce Fund management accounts by extracting relevant reports from the system and preparing the reports in compliance with the Accounting Standards on a monthly basisPrepare management account variance report by maintaining a working knowledge of daily financial activities, analysing transactions and reports, identifying anomalies and addressing issues on a monthly basisResolve queries and issues as identified from the variance report and implement corrective action on a monthly basisCompile and present management accounts and recommendations report to Financial Manager by collating all reports and making recommendations on a monthly basisProduce Fund financial reports by extracting relevant reports from the system and preparing the reports in compliance with the Accounting Standards, comparing and evaluating against monthly management accounts, identifying and addressing any issues or anomalies arising and finalising the financial statements on an annual basisCompile and present financial reports and recommendations report to CRM’s by collating all reports and recommendations identified and verifying that the reports have been prepared are compliant with the Accounting Standards on an annual basis BudgetingPrepare the Fund client budget templates and guidelines by aligning with the accounting guidelines by deadlineTrain and support the relevant Fund management staff to prepare client fund budgets and trustee report submissions by communicating the templates and guidelines and providing coaching and mentoring support on a regular/monthly basis.Manage the system of controls per the signing authorities manual and CSIP process with regards to grant payments by reviewing information and checking compliance with defined authority levels and approval requirements daily Audit and AFSPrepare the audit files and manage the external audit process by collecting required information, compiling into defined reports, submitting to auditors and answering and resolving questions during audit process per agreed plan Key Performance Areas ActivitiesManage the internal audit process, by collecting required information, submitting to internal audit, and resolving any audit queriesProduce the Fund Annual Financial Statements as per IFRS for final review by the financial manager by collecting all reports, collating into defined format, checking for accuracy and completeness and submitting by deadlineOnline Banking AuthorizationMaintain the fund delegations of authority accuracy and compliance by understating the requirements for each fund, checking delegations of authority policies for each fund annually, referring for review and update and implementing amendments within SLAImplement approved delegations of authority into banking platform by updating banking authorities and profiles and submitting proof of update for auditing by annual deadlineApprove payments in line with fund delegations of authority and CSIP process by following the banking online process, gaining relevant authority for payments based on their value and coordinating that payments are made within deadlines and SLA’s Qualifications and ExperienceACIS, ACMA ,or B Com honors in Accounting RequiredCompleted Articled clerkship advantageousDiploma in taxation is preferable3 Years financial management experience2 Years Accounting experience Statutory and RegulatoryComplete and submit all tax returns for all the annuity fund clients per SARS regulations and in a timely mannerSubmit all NPO reports for all fund annuity clients by following the defined submission process and deadlines as set by the department of Social Development annuallyAd hocComplete any other fund accounting functions allocated by the Financial manager, CFO and Client relationship managers by receiving request, implementing and providing feedback within agreed turnaround time. Qualifications and ExperienceACIS, ACMA ,or B Com honors in Accounting RequiredCompleted Articled clerkship advantageousDiploma in taxation is preferable3 Years financial management experience2 Years Accounting experience KEY INTERACTIONS / RELATIONSHIPSFund Management especially Client PortfolioFinanceFund Trustees and ManagementSARSDepartment of Social DevelopmentService ProvidersBanks Preference will be given to South African citizens. Appointments will be made in line with the company’s Employment Equity plan and other required legislation. Candidates with a disability are encouraged to apply. The company will not be liable for interview travel cost or relocation cost. An application will not in itself entitle the applicant to an interview. Only short-listed applicants will be contacted. in Johannesburg. As a Fund Accountant Job Information JOB Title               : Fund AccountantREPORTING LINE: Financial ManagerPRINCIPAL OBJECTIVE OF POSITIONThe main purpose of the Fund Accountant is to generate the monthly and annual management accounts for project funds, develop and run financial reports, present financial analysis and findings on the reports and develop and implement the fund budget according to policy, accounting standards and statutory requirementsKEY PERFORMANCE AREAS: Fund Financial ReportingProduce Fund management accounts by extracting relevant reports from the system and preparing the reports in compliance with the Accounting Standards on a monthly basisPrepare management account variance report by maintaining a working knowledge of daily financial activities, analysing transactions and reports, identifying anomalies and addressing issues on a monthly basisResolve queries and issues as identified from the variance report and implement corrective action on a monthly basisCompile and present management accounts and recommendations report to Financial Manager by collating all reports and making recommendations on a monthly basisProduce Fund financial reports by extracting relevant reports from the system and preparing the reports in compliance with the Accounting Standards, comparing and evaluating against monthly management accounts, identifying and addressing any issues or anomalies arising and finalising the financial statements on an annual basisCompile and present financial reports and recommendations report to CRM’s by collating all reports and recommendations identified and verifying that the reports have been prepared are compliant with the Accounting Standards on an annual basis BudgetingPrepare the Fund client budget templates and guidelines by aligning with the accounting guidelines by deadlineTrain and support the relevant Fund management staff to prepare client fund budgets and trustee report submissions by communicating the templates and guidelines and providing coaching and mentoring support on a regular/monthly basis.Manage the system of controls per the signing authorities manual and CSIP process with regards to grant payments by reviewing information and checking compliance with defined authority levels and approval requirements daily Audit and AFSPrepare the audit files and manage the external audit process by collecting required information, compiling into defined reports, submitting to auditors and answering and resolving questions during audit process per agreed plan Key Performance Areas ActivitiesManage the internal audit process, by collecting required information, submitting to internal audit, and resolving any audit queriesProduce the Fund Annual Financial Statements as per IFRS for final review by the financial manager by collecting all reports, collating into defined format, checking for accuracy and completeness and submitting by deadlineOnline Banking AuthorizationMaintain the fund delegations of authority accuracy and compliance by understating the requirements for each fund, checking delegations of authority policies for each fund annually, referring for review and update and implementing amendments within SLAImplement approved delegations of authority into banking platform by updating banking authorities and profiles and submitting proof of update for auditing by annual deadlineApprove payments in line with fund delegations of authority and CSIP process by following the banking online process, gaining relevant authority for payments based on their value and coordinating that payments are made within deadlines and SLA’s Qualifications and ExperienceACIS, ACMA ,or B Com honors in Accounting RequiredCompleted Articled clerkship advantageousDiploma in taxation is preferable3 Years financial management experience2 Years Accounting experience Statutory and RegulatoryComplete and submit all tax returns for all the annuity fund clients per SARS regulations and in a timely mannerSubmit all NPO reports for all fund annuity clients by following the defined submission process and deadlines as set by the department of Social Development annuallyAd hocComplete any other fund accounting functions allocated by the Financial manager, CFO and Client relationship managers by receiving request, implementing and providing feedback within agreed turnaround time. Qualifications and ExperienceACIS, ACMA ,or B Com honors in Accounting RequiredCompleted Articled clerkship advantageousDiploma in taxation is preferable3 Years financial management experience2 Years Accounting experience KEY INTERACTIONS / RELATIONSHIPSFund Management especially Client PortfolioFinanceFund Trustees and ManagementSARSDepartment of Social DevelopmentService ProvidersBanks Preference will be given to South African citizens. Appointments will be made in line with the company’s Employment Equity plan and other required legislation. Candidates with a disability are encouraged to apply. The company will not be liable for interview travel cost or relocation cost. An application will not in itself entitle the applicant to an interview. Only short-listed applicants will be contacted. for Boikago Group you will be in charge of...
JobSpace |
Cape Town, Western Cape
- 10d ago
Valid South African ID. Grade 12 certificate. LLB degree. Completed articles. Admitted attorney. Desirable requirements. Maximum of working experience gained as articled clerk. Resilient...

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