Key Responsibilities:Invoice capture and allocation of bank statement transactions.Perform debtors and creditors reconciliations, including monthly payment reconciliations.Prepare and process month-end journals (prepayments, accruals, provisions, bank reconciliations, and cashbook processing).Undertake month-end income statement variance analysis and commentary.Perform General Ledger and Balance Sheet reconciliations.Maintain internal control systems and ensure compliance.Complete various Excel schedules with accuracy and maintain data integrity.Assist with ad-hoc tasks and departmental support as required.Skills, Experience & Competencies:5–8 years of bookkeeping experience, with a strong focus on trial balance.Tertiary qualification (Matric and Diploma required).Proficiency in Sage One Accounting and Excel.Strong understanding of creditors' aging and resolving irregularities.Ability to work independently, collaboratively, and under pressure.Strong multitasking and deadline-driven capabilities.Trustworthy, detail-oriented, and reliable with excellent communication skills.Problem-solving and adaptability in dynamic environments.Personal Characteristics:Self-managed, disciplined, and capable of handling both senior and processing work.Deadline-driven and able to work under pressure.Professional, well-spoken, and well-presented.A flexible and solutions-focused approach to challenges.
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