Computer knowledge (Excel, Word and Microsoft office)
Driver’s license.
Must be willing to travel
Good communication skills and fully bilingual
Ability to work under pressure
Accuracy and always on point
Highly committed and always willing to go an extra mile when required.
Be able to solve problems and queries that may occur.
DESCRIPTION OF DUTIES
You shall be required to carry out all functions and duties as outlined hereunder as well as in respect of any such other duties and responsibilities related to your role which are from time to time assigned to you and which are reasonable and lawful:
Accounting Functions
A primary focus on the handling, preparing, computing, managing, researching and analyzing all accounting data in order to provide quantitative information on performance, financial position, solvency, liquidity and cash flows of our business.
Ensure that an accurate and effective yearly budget is done by anticipating income and expenditure.
Check on the depot that you are handling to ensure that invoices are done timeously and correctly; scrutinize and approve all job packs by following the correct internal procedure. Make sure that all manuals have a reason and are invoiced timeously.
Analysis of the trial balance to be done weekly in order to ensure that expenditure is authorized and within budget and to make the necessary corrections.
Investigate open sales orders and manuals in order to determine the reason.
Make sure all credit notes are done and confirm with relevant documentation.
Ensure that labour posting is done daily.
Ensure that there are order numbers for all open jobs at workshops on the WIP valuation report.
Check that all completed jobs are invoiced as soon as they are completed.
Ensure that stock takes take place on the scheduled date and the correct procedure is followed.
Ensure that all stores function effectively by ensuring that correct procedures are followed when receiving and issuing stock.
Investigate all store variances and take them up with the responsible employee.
Ensure that all stores have a minimum and maximum stock level and manage it accordingly.
Investigate slow moving stock in order for it to be either written off, moved or returned.
Implementation of systems, policies and procedures and providing an independent, objective and constructive view in relation to your primary focus area.
Engage in continuous knowledge development in relation to the sector’s rules, regulations, best practices, tools, techniques and performance standards.
Accounts payable
Prepare Monthly Creditor reconciliations and review monthly creditors, process corrections and follow up on reconciling items.
Arrange payments and schedules and process payment runs.
Weekly DQ application summary to Logistics and inventory levels to Director.
Cashbook and Petty Cash
Prepare and update duty payment schedule with VAT and duty %.
Load internet payments and authorize internet banking payments.
Prepare and review bank reconciliations and assist to resolve reconciling items.
Follow up on month-end reverting payments, ensuring all statements have been received.
Financial Reporting
Prepare monthly loan account reconciliations and send to Route.
Post loan account transactions via journals.
Prepare annual financial statements and budgets year-end.
Prepare summary of monthly Provisions for Bad Debts Report.
Statutory
Prepare monthly VAT reconciliations, review and submit.
Ad hoc tasks, which may include:
• Physical inspection of depots when needed.
• Retrieve requested information as required by the Auditors.
• Review sales profitability.
• Completion of Capex documents as needed with certain purchases.