PURPOSE OF THE POSITION:
To ensure that all sales and expenses are processed monthly and that all deposits made by stores are banked on a daily basis.
RESPONSIBILITIES:
Capturing and coding of daily cash expenses and sales returns
Processing of bank statements
Reconciliation of daily cash, sales returns and expenses with bank statements
Reconciliation of bank statements with ledger balances
Resolving of discrepancies between the sales report and the retail report
General administration duties
JOB INCUMBENT REQUIREMENTS:
Grade 12 (with Accounting)
Accounting diploma/ certificate will be an advantage
2 Years reconciliation experience within a financial department will be an advantage
Computer Literacy (MS Office)
Competencies required: Aptitude to work with figures; Planning, Organising and Control; Problem Assessment; Communication Skills; Detail Orientation; Stress Tolerance and able to work in a team as well as independently
How to apply for this
APPLY ONLINE HERE
OR please submit your CV, copies of ID and certificates and an internal application form (for Pep Dynamos).
Closing Date: Thursday, 16 February 2017
OR please submit your CV, copies of ID and certificates and an internal application form (for Pep Dynamos).
Closing Date: Thursday, 16 February 2017
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