Position Overview
Key Responsibilities:
- Daily cashbook management, including recording all bank receipts, payments, transfers, and debit orders accurately
- Performing monthly bank reconciliations and investigating discrepancies, including unallocated deposits
- Preparing EFT payment batches and loading payments onto banking profiles
- Assisting with month-end procedures, including journal preparation and General Ledger reconciliations
- Preparing monthly royalties and rebates invoices and following up on outstanding payments
- Conducting monthly point-of-sale reconciliations and investigating variances
- Managing supplier and customer reconciliations to ensure payments are correctly processed and allocated
- Supporting month-end reporting requirements
- Providing after-hours standby support to check, confirm, and process customer payments
Requirements:
- Matric (Grade 12) with Accounting and Mathematics
- Certificate or Diploma in Accounting, Bookkeepin...