Full Time
Rivonia
Posted 2 months ago
Candidate Key Performance Outputs
- Responsible for daily cash management;
- Update daily bank balances for all accounts;
- Process local, foreign and ad-hoc payments/receipts;
- Issue, process and reconcile petty cash and foreign floats;
- Assist with month-end and year-end close off procedures;
- Timeous and accurate monthly reporting;
- Maintain and reconcile cashbooks to the bank statements (daily bank reconciliations, following up and clearing of reconciling items);
- Maintain and reconcile credit card accounts; – Administer and control the loading of new beneficiary profiles;
- Perform ad-hoc assignments as instructed; Filing/General Administration;
- Provide auditors with information required for yearend audit.
Candidate Requirements/Experience
- Grade 12;
- A Diploma in Finance (Advantageous);
- Minimum of 3 years cashbook/petty cash experience (Essential);
- Must have experience working with multiple currencies;
- Experience in an accounting software package (Advantageous);
- Must be able to work with physical cash and multiple boxes;
- Knowledge of cash management within an Organisation;
- Basic knowledge of accounts payable and accounts receivable;
- Proficient in Excel (Essential);
- Excellent communication and time management skills;
- Must be able to plan, prioritise and organize;
- Attention to detail;
- Ability to work under pressure;
- Deadline driven;
If you have not been responded to within 21 days of the closing date please accept that your application was not successful.
Job Features
| Job Category | Finance and Accounting |
