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Junior Bookkeeper (Finance)

Atriplea

Gauteng

On-site

ZAR 200 000 - 300 000

Full time

Today
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Job summary

A leading company in the Finance Industry is seeking a Junior Bookkeeper to manage cashbooks, creditors, and reconciliations. The role involves daily financial reporting and ensuring timely payments while assisting the Financial Manager. Candidates should have strong Excel skills and be detail-oriented.

Responsibilities

  • Daily processing of all cashbooks.
  • Full Creditors function - Preparing payments daily/weekly/monthly.
  • Bank Reconciliation and General Ledger Reconciliation.

Skills

Intermediate Excel

Job description

Our client in the Finance Industry is looking to hire a Junior Bookkeeper.

Responsibilities
  1. Daily processing of all cashbooks
  2. Full Creditors function (Local & Foreign) - Preparing payments daily / weekly / monthly
  3. Capturing Cash books (Standard bank Current / Standard Bank credit card / Nedbank credit card / Standard bank Call Acc / Nedbank Call Acc)
  4. Bank Reconciliation
  5. Other reconciliations (e.g., Rebates, Online partners, etc.)
  6. General Ledger Reconciliation
  7. Daily cashflow report preparation
  8. Daily checking and updating of Exchange Rates
  9. Daily processing of all documentation according to the company requirements
  10. Booking of Takealot collections
  11. Creditors Reconciliations and following up on account discrepancies
  12. Creditors' Payments - Local and Foreign
  13. Booking of LC and Forward Exchange Contract (FEC)
  14. Timeous completion of all reconciliations and payments
  15. Filing of all company documentation according to specified systems
  16. Meeting monthly deadlines
  17. Completing company documents (Credit Applications, etc.)
  18. Processing information regarding expenses
  19. Ensuring creditors are paid on time
  20. Verifying the accuracy of calculations
  21. Handling information and taking instructions
  22. Completion and preparation of reports (Rebates, Inter-company expense report, GL Recons)
  23. Monthly Nedfleet petrol card reconciliations
  24. Passing of monthly journals and inter-company expenses
  25. Processing monthly Expenses
  26. Ensuring that Supplier invoices are captured accurately and timeously once stock has been received
  27. Following up on outstanding GRV's from Procurement
  28. Collecting expense claims from reps and getting approval for these
  29. Collecting all slips for credit cards used by authorised personnel and communicating any variances
  30. Any Ad Hoc duties related to the position
  31. Assisting the Financial Manager
  32. Monthly Reconciliations
  33. Full Creditors and Bookkeeper Function
Requirements

Skills and Specifications: Intermediate Excel

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