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Cashbook Clerk - Shared Services - Cape Town (WC)

The Building Company
Cape Town Full-day Full-time

Description:

Introduction:

To ensure all Bank accounts for TBCo and related subsidiaries reconciles to the bank statements and reconciling items are cleared.

Description:


  • Reconcile bank accounts for TBCo Support Office and IAT Head Office
  • Verify, check, and process expense claims for Support Office
  • Process transactions not part of AP (Accounts Payable) or AR (Accounts Receivable)
  • Responsible for updating and balancing intercompany charge-out schedules
  • To uphold and promote the company values and culture


Requirements:

Matric (Grade 12)


Bookkeeping Qualification NQF L6


2 – 3 years’ experience in similar role

Requirements:

Introduction:

To ensure all Bank accounts for TBCo and related subsidiaries reconciles to the bank statements and reconciling items are cleared.

Description:


  • Reconcile bank accounts for TBCo Support Office and IAT Head Office
  • Verify, check, and process expense claims for Support Office
  • Process transactions not part of AP (Accounts Payable) or AR (Accounts Receivable)
  • Responsible for updating and balancing intercompany charge-out schedules
  • To uphold and promote the company values and culture


Requirements:

Matric (Grade 12)


Bookkeeping Qualification NQF L6


2 – 3 years’ experience in similar role

Introduction:

To ensure all Bank accounts for TBCo and related subsidiaries reconciles to the bank statements and reconciling items are cleared.

Description:


  • Reconcile bank accounts for TBCo Support Office and IAT Head Office
  • Verify, check, and process expense claims for Support Office
  • Process transactions not part of AP (Accounts Payable) or AR (Accounts Receivable)
  • Responsible for updating and balancing intercompany charge-out schedules
  • To uphold and promote the company values and culture


Requirements:

Matric (Grade 12)


Bookkeeping Qualification NQF L6


2 – 3 years’ experience in similar role

Introduction:

To ensure all Bank accounts for TBCo and related subsidiaries reconciles to the bank statements and reconciling items are cleared.

Description:


  • Reconcile bank accounts for TBCo Support Office and IAT Head Office
  • Verify, check, and process expense claims for Support Office
  • Process transactions not part of AP (Accounts Payable) or AR (Accounts Receivable)
  • Responsible for updating and balancing intercompany charge-out schedules
  • To uphold and promote the company values and culture


Requirements:

Matric (Grade 12)


Bookkeeping Qualification NQF L6


2 – 3 years’ experience in similar role


  • Reconcile bank accounts for TBCo Support Office and IAT Head Office
  • Verify, check, and process expense claims for Support Office
  • Process transactions not part of AP (Accounts Payable) or AR (Accounts Receivable)
  • Responsible for updating and balancing intercompany charge-out schedules
  • To uphold and promote the company values and culture


Requirements:

Matric (Grade 12)


Bookkeeping Qualification NQF L6


2 – 3 years’ experience in similar role

24 Apr 2025;   from: careers24.com

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