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Clerk Fdc Debtors/Bank Recon at PnP

Pick n Pay

Cape Town

On-site

ZAR 50 000 - 200 000

Full time

Today
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Job summary

A leading retail company based in Cape Town seeks a dedicated Accounts Receivable Administrator. This role involves managing invoices, ensuring timely client payments, and addressing billing discrepancies. The ideal candidate will have solid computer skills, attention to detail, and 2-3 years experience in a similar environment. Applications are invited until 18 November 2025.

Qualifications

  • 2-3 years debtors experience is favorable.
  • Proven computer literacy.

Responsibilities

  • Prepare and issue tax invoices and credit notes accurately.
  • Monitor and follow up on outstanding customer account balances.
  • Investigate and resolve queries related to outstanding debtor balances.

Skills

Attention to detail
Ability to perform under pressure
Good communication skills
Team player

Education

Matric/N3 or equivalent

Tools

MS Excel
SAP
Job description
Role Summary

To administer accounts receivable, including preparing and issuing invoices, ensuring timely client payments, reconciling accounts, and addressing any billing discrepancies.

Requirements

Minimum Requirements:

  • Matric/N3 or equivalent
  • 2-3 years debtors experience is favorable
  • Proven computer literacy (MS EXCEL, MS WORD, MS WORD)
  • SAP literacy will be an advantage
Competencies
  • Ability to perform under pressure
  • Demonstrates commitment and reliability
  • Attention to detail
  • Accurate and methodical
  • Meticulous and analytical
  • Sense of urgency
  • Good communications skills
  • Strong sense of accountability and operational excellence
  • Well organised with strong attention to detail and accuracy
  • Excellent planning and time management skills
  • People Orientation
  • Team player
Key Responsibilities
  • Prepare and issue tax invoices and credit notes accurately and timeously.
  • Validate cost centres and GL account numbers for all journals and billings.
  • Compile and process journals in line with accounting standards and internal controls.
  • Ensure Full Compliance With Tax Legislation And Company Requirements.
  • Monitor and follow up on outstanding customer account balances to ensure timely collection.
  • Process and receipt all incoming funds, reconciling entries against bank GL accounts.
  • Reconcile customer accounts (i.e Buy-Aid) and resolve discrepancies promptly.
  • Reconcile DC Vendor and Customer accounts to ensure accurate financial records.
  • Investigate and resolve price differences between DC Vendor and Customer accounts.
  • Post necessary price adjustments for DC accounts.
  • Liaise with the DC Claims Department to address and elevate outstanding return credits.
  • Collaborate with Regional and DC SIT Departments to resolve long-outstanding goods receipts.
  • Prepare and issue manual statements for African countries as required.
  • Follow established confirmation processes for the release of funds from foreign countries.
  • Engage with customers regarding outstanding payments and escalated unresolved queries to the relevant regions.
  • Investigate and resolve queries related to outstanding debtor balances

Closing Date: 18 November 2025

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