About the job Bookkeeper
Minimum requirements:
- Customer Service orientated.
- Strong accounts payable and reconciliation experience.
- Attention to details.
- Work well with a large team and independently.
- Ability to work well under pressure and meet deadlines. (Very deadline driven organisation)
- Enable to interact with all departments within the company.
- Must have SYSPRO experience non-negotiable.
- Microsoft Excel of basic to intermediate level.
- Matric/Equivalent NQF level 4
- Diploma or Degree in Finance would be an advantage.
1.Creditors Function:
Ø Maintain supplier master files in line with preferred suppliers and company procurement policy.
Ø Process authorised suppliers invoices on SYSPRO. (ZAR and Foreign currency)
Ø Reconcile supplier control accounts on monthly basis to supplier statements (ZAR and Foreign currency)
Ø Review Supplier Age Analysis
Ø Review GRN report and liaise with dispatching department regarding any abnormalities.
2: Cashbook/Payments:
Ø Perform weekly Cashbook reconciliations on the ZAR and Foreign currency Cashbooks.
Ø Processing of up to 8 cashbooks (transaction accounts, credit cards, CFC {USD and EURO} petty cash across branches)
Ø Loading payments on business online platforms (ZAR and Foreign currency)
Ø Opening of new beneficiaries on the business online platforms.
Ø Work independently with our foreign suppliers in terms of communicating queries on invoices, reporting delays in payments to suppliers.
Ø Reconciling the Foreign supplier payments to Forward Cover contracts taken out.
Ø Applying for Forward Cover contracts.
3: Month end Processing:
Ø Prepare monthly creditor reconciliations.
Ø Perform month-end balance sheets recons for review by Financial Manager.
Ø Process month -end journals entries {Depreciation, interest adjustment, accruals etc}
Ø Able to assist with reconciling VAT on monthly basis.
Ø Work within the month end reporting timeframes set by Financial Manager.
4: Audit:
Ø Work closely with internal audit terms.
Ø Prepare and provide the necessary information to auditors during half year and annual audit.
4: Adhoc duties:
Ø Assist with the completion of Supplier credit/vendor documentation.
Ø Maintain supplier list and ensure all required documentation is filed methodically in preparation for annual BBBEE audits and financial audits.
Ø Maintaining Fixed Asset register