seeking a detail-oriented and organized POD/Credit Clerk/Administrator to join our administrative team. The documentation.
analytical professional to fill the role of an Accounts Clerk and Administration. Your role will entail reconciling Applicants will require Matric/Grade 12 with Accounting as a subject, a relevant Certification with at queries and claims. Follow up of unpaid / overdue accounts. Process direct invoices and credit notes. Daily Debtors Clerk duties some days to fill in. REQUIREMENTS: Matric/Grade 12 Certificate (with Accounting as a procedures, practices, and equipment. Up to date with Accounting standards. Sound interpersonal and communication
Statement reconciliation in order to validate account balances Payment run generation and reporting Processing Understanding compliance issues and transactional tax accounting Perform process controls during transactional further Finance jobs, Accountant jobs, Financial Manager vacancies and Management Accountant vacancies. R 180
vendors. Monitor supplier age analysis to keep accounts up to date. Manage eWallet cards. Assist with />
loan reconciliations
- Monthly Management Accounts Pack preparation
- Payroll administration
and Requirements:
- BCom Accounting degree or similar
- Good communication skills
and English
- Experience of working in an accounting practice highly recommended
- Must be a
& willing to keep timesheets
- Must have accounting experience
- Must have own transport
conglomerate seeks to employ an experienced Accounts Receivable Clerk to join their dynamic finance team based processes Cash flow forecast assistance Collection of accounts Education Requirements: Completed Matric (Grade Requirements and Skills: 4 to 5 years in a debtors / accounts receivable role is essential Shared Services Centre
flow forecast assistance
The team is looking for an experienced Accounts Payable Clerk to join them. This successful company has processing
team is looking for an experienced Senior Accounts Payable Clerk to join them. This successful company has processing
/>Statement reconciliation in order to validate account balances
Payment run generation and reporting
Understanding compliance issues and transactional tax accounting
Perform process controls during transactional