Junior Accountant Maternity Contract

Details of the offer

Accountant DutiesDebtors Control & Invoicing• Prepare billing schedule for the month ahead• Update and confirm construction timeline schedule• Capture debtor invoices on pastel• Reconcile invoices on pastel to the billing schedule then email• Process sundry invoices eg; Atec, grass cut, fines and other recoverable expenses• Create new debtor accounts for property transfers which went through in the month• Update and maintain the sales schedules for stats purposes• Prepare welcome email to the new debtors and email the invoices due.• Credit the old debtor according to date of transfer and close off the account• Confirm interest to be charged, then process overdue customers• Select customer statements to be emailed and check each account for errors before emailing• Tend to account queries and requests• Reconcile debtors on age analysis & correct if any errors found• Prepare debtor journals and Credit notes and ensure they are properly authorised and signed off• Send reminders/make calls to overdue debtors - escalate problem accounts to Estate manager• Submit overdue list for whatsapp to Estate manager• Update and verify debit orders to be submitted with notes on the 1st of the monthCreditors Control & Payments• Verify supplier invoices to be paid against payment schedule received and submit for loading• After payments have been released, check if all transactions are successful• Reconcile card invoices on schedule/purchase order to transaction on bank account• Process creditor/supplier invoices on Pastel• Prepare suppliers/creditors reconciliation with age analysis• Creditors Queries – follow up on outstanding invoices or disputes on statementsReconciliation of Access Income and Petty cash• Verify petty cash invoices to schedule and reconcile balance on hand• Capture petty cash invoices on pastel• Reconcile access card income with schedule and cards on handManage Cash book• Import credits/deposits from bank account into pastel bank manager• Allocate deposits/ credits to appropriate accounts eg; debtor/general ledger if not already mapped• Import payments from bank account into pastel bank manager• Allocate payments to appropriate accounts eg; supplier/general ledger & provide description notes• Reconcile bank accountPrepare Monthly Management Accounts• GL administration• Process all monthly journals and reallocations• Prepare recons for balance sheet GL accounts• Allocate income generated from community centre bookings• Update and maintain fixed assets register


Nominal Salary: To be agreed

Job Function:

Requirements

Junior Commercial Accountant

Boxer is looking for a Junior Commercial Accountant to join our dynamic team at Head Office. This role offers administrative and financial support to the Com...


Boxer Superstores - KwaZulu-Natal

Published a month ago

Junior Accountant

* Full accounting function. * Responsible for journals and inter-group reallocations and reconciliation. * Interpreting and analyzing financial data and comp...


Route Management (Pty) Ltd - KwaZulu-Natal

Published a month ago

Financial Accountant (8-Month Contract)

Financial AccountantOur client, one of South Africa's FMCG favourites, is looking for a Financial Accountant for an 8-month contract position at their office...


Kelly Sinclair Recruitment Partners - KwaZulu-Natal

Published a month ago

Financial Accountant

Job Title: Financial AccountantReference: NFE007076-LN-1Have you completed your SAIPA Articles and are looking to take the next step in your career?Duties & ...


Network Finance - KwaZulu-Natal

Published a month ago

Built at: 2024-11-14T18:21:19.497Z