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Junior Cash Administrator

Alistair Group

Sandton

On-site

ZAR 200 000 - 300 000

Full time

Today
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Job summary

A logistics service provider in Sandton seeks a Finance professional responsible for processing bank statements and managing cash flow reporting. The ideal candidate will have strong administrative and communication skills, with at least one year of relevant experience. Familiarity with SAP and bank platforms is essential. The work schedule includes weekdays and alternate Saturday mornings, offering a dynamic environment for those capable of thriving under pressure.

Qualifications

  • Minimum 1 year of experience in a similar role.
  • Possess a valid passport.
  • Ability to thrive in a fast‑paced, dynamic work environment.
  • Should be resilient, able to work under pressure.
  • Have the ability to work longer hours.

Responsibilities

  • Daily capturing and processing of bank statements.
  • Preparation of bank reconciliations.
  • Responsible for Weekly Cash Flow Reporting.
  • Liaising with banks on all administrative matters.

Skills

SAP - Business One experience
Experience working on bank platforms
Forex and mobile money platform experience
Strong administrative skills
Excellent communication and interpersonal skills
Experience in the Logistics industry

Education

Tertiary qualification in finance
Job description

ALISTAIR is one of East and Southern Africa’s fastest growing service companies, providing a variety of self‑delivered logistics solutions with core competencies in integrated logistics solutions. The business has gone from strength to strength, growing quickly in both its geographical coverage and variety of services offered to clients. At the moment, the Group employees over 950 personnel, delivers services across sixteen countries and is poised for significant further expansion.

Core Services
  • Freight Forwarding
  • Clearance & Forwarding
  • Energy Industry Support Services
  • Equipment Rental
  • Commodity Trading
  • Integrated Solutions
  • Warehousing
  • Ocean Freight
Industries
  • Mining
  • Oil & Gas
  • Agriculture
  • Construction
  • Explosives
  • Renewables
Vision

To be known as the Company that makes Africa work better.

Company Behaviours

Honesty, Customer Focus, Continual Improvement, Humility, and Safety.

Essential Qualities & Responsibilities
  • Daily capturing and processing of bank statements.
  • Capturing and processing of payment, including foreign currency.
  • Preparation of bank reconciliations.
  • Responsible for Weekly Cash Flow Reporting & the management thereof.
  • Responsible for preparing and managing bank mandates.
  • Capturing of all journals related to the various cashbooks accounts.
  • Liaising with banks on all administrative matters e.g. new users, limits etc.
  • Liaise with key stakeholders
Skills and Qualifications
  • SAP - Business One experience preferred.
  • Experience working on bank platforms is essential
  • Forex and mobile money platform experience is desirable.
  • A tertiary qualification in finance is desirable.
  • Minimum 1 year of experience in a similar role.
  • Possess a valid passport.
  • Strong administrative skills
  • Experience in the Logistics industry preferred.
  • Ability to thrive in a fast‑paced, dynamic work environment.
  • Should be resilient, be able to work under pressure.
  • Have the ability to work longer hours and not be limited to work times.
  • Excellent communication and interpersonal skills.

Hours: Monday to Friday 07h20 - 16h20 plus alternate Saturday mornings 08h00 - 12h00

The Company reserves the right to withdraw from the recruitment process at any time, at its sole discretion. The sharing of any aptitude test, assessment, or invitation to an interview does not constitute an offer of employment or guarantee any future employment with the Company. Candidates acknowledge that progression through any stage of the recruitment process does not imply or ensure an eventual offer of employment.

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