Key Performance Areas/Main Outputs and Responsibilities:Output 1 - Cash and Bank Management:
Assisting with the monitoring of daily cash balances
Maintain daily sweeping schedules and calculate intercompany interest on a monthly basis.
Central contact for liaising between the group and ABSA, which includes opening and closing accounts, dealing with credit cards, forex payments and other banking requirements. Also involves assisting brands within the group with preparing and signing off on forms required for their banking needs.
Loading payments on an ad-hoc basis when required by group finance.
Assistance with supplier allocations where necessary.
Output 2 - Cashbook Processing:
Review and completion of cash books
Output 3 - Journals:
Prepare and post journals
Output 4 - Management packs:
Assist with preparation of monthly management packs
Assist with reconciling monthly General Ledger accounts
Output 6 - Adhoc
Assist with preparation of Capex Forms and control sheets for Fixed Assets
Various Administrative tasks.
Education:
Minimum BCOM Degree or Higher Diploma in Finance or Bookkeeping is required.
Experience:
3 years minimum experience required in Bookkeeping/Financial background
System Requirements
Excel (Advanced)
D365 experience will be a plus
Excalibur
Skills:
Conflict Management
Numeracy
Analytical
Interpersonal skills
Decisive
Behavioural Attributes:
Patient
Tactful
Approachable
Firm
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