DUTIES
based in Durban North is looking for a Debtors Clerk. Recons and processing accounts Credit vetting Collections
client is looking for an experienced Creditors Clerk to perform efficient, accurate and timeous processing accounts. Reconcile accounts and follow up on short banking Resolve claims, POD's and queries. Prepare payments
Finance Controller to join their team. Perform bank reconciliations. Compile and review income statements. Compile including income statements and balance sheet reconciliations. Review overhead expenses. Compile cash flow payments in the accounting system. Perform VAT reconciliations and returns. Reconcile monthly salary control Verify customer payments. Assist with liaising with banks for queries. Assist in budget preparation. Prepare Prepare audit files, compile and review reconciliations. Assist auditors with queries. Arrange foreign exchange
necessary documents, verify banking details, and add new suppliers in Sage 300 and bank. Generate and distribute and Trial Balance: Complete General Ledger reconciliations with supporting schedules. GL Journals: Prepare Sage 300, and accurately prepare payments, GL reconciliations, and journals. Meet monthly deadlines, pay supervision, ensuring payments are released from the bank. Job Experience and Skills Required: Completed Matric
necessary documents, verify banking details, and add new suppliers in Sage 300 and bank. Generate and distribute and Trial Balance: Complete General Ledger reconciliations with supporting schedules. GL Journals: Prepare Sage 300, and accurately prepare payments, GL reconciliations, and journals. Meet monthly deadlines, pay supervision, ensuring payments are released from the bank. Job Experience and Skills Required: Completed Matric
onto the bank and manage the payment cycle efficiently. Download proof of payments from the bank and distribute payments. Verify and update banking details; add new suppliers to Sage 300 and bank systems. Debtors Management: Perform month-end and year-end expenses analysis. Bank Statements: Process and reconcile the cashbook. Ledger and Journals: Complete General Ledger reconciliations with supporting schedules. Manage journals
onto the bank and manage the payment cycle efficiently. Download proof of payments from the bank and distribute payments. Verify and update banking details; add new suppliers to Sage 300 and bank systems. Debtors Management: Perform month-end and year-end expenses analysis. Bank Statements: Process and reconcile the cashbook. Ledger and Journals: Complete General Ledger reconciliations with supporting schedules. Manage journals