REMUNERATION: R287 820 BASIC SALARY PER ANNUM
To render an effective bank and cash flow processing and ensure that all financial transaction processed are accurate, valid and complete.
Conduct a daily extraction of Bank Statements from online Banking for conversion and upload into SAP. Resolve any technical issues with the assistance of IT support. Ensure that reconciling items are dealt with on bank accounts and the supporting accounts such as incoming deposits and outgoing EFT’s. Conduct a daily review of bank statements and identify unusual items and follow up. Ensure that items detected are immediately escalated for management intervention. Ensure confirmations are obtained from all parties and that disputed items are resolved within 30 days in liaison with all stakeholders. Submission of cash flow forecasts for City of Johannesburg daily, weekly and monthly. Prepare and compile the bank and cash audit file to be reviewed by Manager for external and internal auditors. Ensure that all month/year end entries are processed before month/year end closure. Ensure regular production and timeous submission of Cash flow forecasts as well as actuals for the previous months to Shareholder is accurate and approved by Manager: General Ledger & Sundry Receivable. Ensure submission of monthly General Ledger reconciliations. Accurate and timeous preparation and submission for loading of EFT vendors.
Essential qualifications and experience:
- Grade 12 (NQF 4) and National Diploma in Accounting (NQF 6)
- 2 years’ experience in the financial field with a completed National Diploma
- Grade 12 (NQF 4) and 2nd year current studies towards National Diploma (NQF 6) in Accounting
- 5 years’ experience in the financial field with current studies. SAP FI and AP and Microsoft packages.
Please forward your CV and qualifications to: Email: email@example.com quoting the relevant reference number and job title in the subject line of your correspondence