My client is looking for a meticulous and organised Accountant to manage the financial transactions and reconciliations.
If you are proactive, detail-oriented, and thrive in a dynamic environment, this role could be the perfect fit for you!
This is a 6 month fixed term contract based in Sandton, Johannesburg North.
Key Responsibilities: - Daily Bank Processing: Ensure complete and accurate processing of all bank transactions for the company's accounts.
- Cashbook Management: Process all bank transactions daily and maintain up-to-date cashbook records.
- Unallocated Accounts: Investigate, resolve, and prepare correction journals for unallocated transactions, working closely with brands and accounts payable.
- Bank Reconciliations: Prepare and upload reconciliations, bank statements, and resolve any discrepancies in a timely manner.
- Query Resolution: Address and resolve queries within a 2-day period, responding to both internal and external auditors.
- Ad Hoc Projects: Provide support on projects such as system migrations and additional tasks as required.
Education and Experience Requirements: - Diploma / Degree in Accounting or Finance related.
- Strong attention to detail and accuracy.
- Ability to manage multiple tasks and meet deadlines.
- Proficiency in accounting software and MS Office.
- Experience with financial reconciliations and query resolution.