- Location
- GRF1, South Africa
- Workplace
- Onsite
- Type
- Full-time
- Closing date
- Today
- Source
- Workday
Description
It's fun to work in a company where people truly BELIEVE in what they're doing!
Responsibilities
- Daily Cashbook Management
- Bank statements Reconciliation
- Allocation of direct payments to debtors
- Allocation of EFT payments from Cash customers
- Logging calls with FNB for unidentified deposit
- Logging calls with the FNB for outstanding deposits
- Following up with the FNB or Cash connect shortages/surpluses on Bank Statement
- Assisting with Audit and Compliance on Bank recon
- Maintain proper filing system for all the documentations
- Fuel log Recon – when truck fuel cards are not working
- Processing and receipting of PO’s
- Support bookkeeper with preparation of Bread& Returns reconciliation
- Ad hoc duties requested by management
Key Attributes and Competencies
- Knowledge of financial processes and bank reconciliations
- Familiarity with financial computer systems and software such as Mozaic and MS Office
- Innovative, self-driven, and detail-oriented approach to problem-solving
- Good verbal and written communication skills, ability to work under pressure, and meet deadlines
- Strong numeric skills and high accuracy in data entry
- Ability to work as a team player
Qualifications
ESSENTIAL SKILLS & QUALIFICATIONS:
- Matric and Accounting qualification
- 2 to 3 years' experience working in finance will be an added advantage
- Computer literate and proficient in MS office (word and excel)
In accordance with the employment equity plan of Tiger Brands and its employment equity goals and targets, preference may be given, but is not limited, to candidates from under-represented designated groups.
Skills
Compliance