Description:
Job Overview:The Creditors Clerk / Cashbook Clerk is responsible for processing and reconciling creditor transactions, maintaining accurate financial records, and ensuring timely payments to suppliers.
This role also involves managing the cashbook by recording and reconciling bank transactions to support accurate financial reporting.
Qualifications & Requirements:
Matric (Grade 12) essential BCom Degree/Diploma in Finance or Accounting beneficial but not a requirement 58 years' experience in Bookkeeping/Financial Accounting Strong Trade Creditors experience essential Advanced Excel and MS Office proficiency Accpac and Forex knowledge advantageous Solid bookkeeping and VAT knowledge Strong attention to detail and analytical thinking Able to work under pressure and meet deadlines Self-managed with excellent time management Professional communication and telephone skills Team leadership experience Sound decision-making and problem-solving skills Commercially minded and trustworthy Understanding of financial policies, procedures, and controlsCore Competencies & Soft Skills:
Communication: Written & Verbal Leadership & Teamwork: Leadership, Conflict Resolution, Team Collaboration Business Insight: Business Acumen, Commercial Awareness Drive: Commitment, Tenacity, Work Ethic, Motivation Decision-Making: Judgement, Implementation, Analytical Thinking Influence: Negotiation, Persuasiveness Organization: Planning, Task Structuring Flexibility: Adaptability Job Description Accounts Payable (Creditors) Responsibilities:
Verify and process supplier invoices against purchase orders and delivery documentation Allocate expenses accurately to appropriate cost centres Schedule and process supplier payments in accordance with agreed terms Perform supplier account reconciliations and resolve discrepancies promptly Maintain an up-to-date and accurate creditors ledger Liaise with suppliers to resolve payment issues in a timely manner Contribute to month-end processes, including accruals and financial reporting Cashbook Responsibilities:Record daily banking transactions and capture all entries in the accounting system Perform timely and accurate bank reconciliations Investigate and resolve any discrepancies between bank records and the cashbook Manage and reconcile petty cash, ensuring correct approvals and documentation Assist with cash
16 Apr 2025;
from:
gumtree.co.za