signing vendor reconciliation balances alongside creditors analysis. Ensuring timely payments to vendors discrepancies or disputes. Thoroughly examining creditors age analysis to validate debt balances. Collaborating experience. Must have sound knowledge with Debtors and Creditors. 18 000 - 22 000 Depending on Experience
years experience as a bookkeeper / accountant / assistant accountant or a similar role in a medium to large control systems In depth understanding of creditors, debtors and book keeping to trial balance In depth journals, reconciliations of ledger accounts, creditor payments, cheque payments and salary payments journals, reconciliations of ledger accounts, creditor payments, cheque payments and salary payments provisions AUDITS: Assist in preparing and supplying general ledgers to accountants / auditors Assist in obtaining
years experience as a bookkeeper / accountant / assistant accountant or a similar role in a medium to large systems
years experience as a bookkeeper / accountant / assistant accountant or a similar role in a medium to large control systems In depth understanding of creditors, debtors and book keeping to trial balance In depth journals, reconciliations of ledger accounts, creditor payments, cheque payments and salary payments journals, reconciliations of ledger accounts, creditor payments, cheque payments and salary payments provisions AUDITS: Assist in preparing and supplying general ledgers to accountants / auditors Assist in obtaining
RS Recruitment Services is assisting a preferred employer in the RETAIL collation of store reporting.
Review of Creditor payments.
Preparation of balance sheet reconciliations of store control accounts.
Review Creditors & Debtors ageing and ensure maintained at current
Assist in the preparation and analysis of the monthly management accounts.
Assist in the feasibility, and cost control analysis.
Assist with audit year end requirements.
Responsible
Process bank recons, intercompany loans, Debtors, Creditors, Petty Cash, Interest, Salaries, and depreciation Vatable turnover to Trial Balance Submit VAT returns Assist with VAT audits and verifications Process monthly flows Load payments and salary transfers Instruct Creditors Clerks to load payments and capture supplier invoices correct Ensure that invoices captured correctly by Creditors Clerk Ensure that invoice are signed / authorised
reconciliations
Balance for trusts Monthly recurring journals Full debtors function Preparing income statement analysis/ balance balance sheet analysis Reviewing of creditors reconciliations Month end reporting Raw Material Management
all queries, oversee debtors and creditors clerks. Checking and releasing Creditor and COD payments within of Month end files. Raising of Sales Invoices. Assisting branches and other stakeholders with all queries
responsible for daily cash management, overseeing the creditors and cashbook functions, foreign exchange transactions Review supplier reconciliation and ageing and assist clerks with queries. Load payments timeously, two of Business Operations by the required deadline. Assist with the collection of cash from the reps and with float and ensure that it is always reconciled. Assists the Financial Manager with audit requirements, Sales, and Banking reports. Manage the Creditors and Debtors teams and deal with escalated queries. Matric