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Accounts Clerk - Head Office - Durban

Al Baraka Bank South Africa

Durban

On-site

ZAR 200 000 - 300 000

Full time

19 days ago

Job summary

A prominent banking institution in Durban is looking for an Accounts Clerk to handle payment processing, prepare financial reports, and manage fixed assets. The ideal candidate will have a diploma in finance/accounting and at least 1-2 years of relevant experience. This role requires proficiency in financial processes and attention to detail to ensure compliance with standards and internal controls.

Qualifications

  • Diploma / degree in finance / accounting or related studies.
  • Minimum 1-2 years’ experience in banking or finance.

Responsibilities

  • Capture payments on the bank’s payment systems.
  • Prepare month-end journals and schedules.
  • Maintain and update the fixed asset register.
  • Prepare and review asset-related financial reports.
  • Ensure compliance with accounting standards.

Skills

Proficient in financial reporting
Payment processing
Journal entries and reconciliations
Asset management

Education

Diploma / degree in finance / accounting
Job description

Job title : Accounts Clerk - Head Office - Durban

Job Location : KwaZulu-Natal, Durban

Deadline : November 08, 2025

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MAIN FUNCTIONS : Payment processing
  • Capturing of payments on the bank’s payment systems
  • Ensuring all banking details, supporting documentation, authorized signatories and allocations are correct.
Month end journals and schedules
  • Preparing the monthly journal to allocate prepayments to the correct expense categories.
  • Ensures that the VAT is correctly accounted for on each transaction.
  • Preparing and balancing the month end schedule to the general ledger.
  • Ensure the suspense accounts are balance and cleared timeously.
  • Prepares month end schedules timeously and follows up on any outstanding items.
  • Processing of routine month-end journals
Other duties
  • Administrational functions of Financial Manager & GM - Finance.
  • Completion of ad-hoc tasks when required
Allocation of receipts and payments on the bank statement
  • Allocation of all Electronic transfer payments made within 1 day after date of payment.
  • Preparing journals for the sweeping of funds on bank accounts within 1 day of date of the transaction date.
  • Journalising of any receipts or donations on the charitable and welfare a / c.
Forex
  • Prepares and processes Forex journals as per information provided by the Forex department daily
  • Ensures that the general ledger accounts reconcile with the daily schedules and transactions provided by the Forex department.
International Banking Journals
  • Prepares and processes the journals required for international banking payments.
Asset Management
  • Maintain and update the fixed asset register, ensuring all acquisitions, disposals, and adjustments are accurately recorded.
  • Monitor and verify the physical existence and condition of assets through periodic asset audits and reconciliations.
  • Ensure proper documentation and approval for asset acquisitions and disposals.
  • New asset acquisitions – ensuring that documentation is accurately prepared for the purpose of recording such acquisitions on the fixed asset register.
  • Staff terminations – ensuring that Bank assets are returned and recorded on the fixed asset register.
  • Replacement assets – ensuring that old assets are returned by staff and recorded on the fixed asset register.
  • Location renovations – ensuring that old assets are removed from the register.
  • Disposal of assets – ensuring that old / damaged / written-off items are removed from the bank’s premises.
  • Transfer of assets between locations or staff – ensuring that such transfer is recorded on the register.
  • Conduct cyclical counts – to ensure the fixed asset register is maintained accurately throughout the year.
Financial Reporting
  • Prepare and review asset-related financial reports, including depreciation schedules and asset valuations.
  • Assist in the preparation of financial statements and reports related to fixed assets for internal and external stakeholders.
Compliance and Controls
  • Ensure compliance with relevant accounting standards, tax regulations, and internal policies related to fixed assets.
  • Develop and implement internal controls and procedures to safeguard fixed assets.
  • Support external audits by providing necessary documentation and responding to audit queries.
  • To be involved in the attempt to continuously improve the service levels provided by the Finance department
  • Ensure all work is performed in accordance with agreed timings and SLA’s.
  • Assist Finance staff with queries from other departments or clients.
  • Assist internal & external clients timeously & efficiently.
  • Assist in training other staff and providing assistance where necessary.
Qualifications :
  • Diploma / degree in finance / accounting or related studies.
Experience :
  • A minimum of 1-2 years’ experience is required in a well-established firm or bank in all general aspects of banking / reporting.
  • Proficient in all areas of finance, including Journal entries, schedules, petty cash recons.
  • Accounting / Financial Services jobs
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