Bookkeeper position available in Pinelands, Cape Town.
Are you a numbers-savvy professional with an eye for detail and a passion for working in the world of eyewear fashion? Our client based in Pinelands is needing an experienced and meticulous accounting expert to manage their financial operations.
Duties are from ledger maintenance and reconciliations to payroll and reporting. Excellent opportunity to bring clarity to the finance portfolio, while supporting a brand that values style and innovation.
Requirements:
Diploma or degree in Accounting, Finance, or a related field
Professional certification (e.g., SAIPA, SAICA, CIMA) is advantageous but not required
Minimum of 3-5 years' experience in a similar accounting or financial role
Proven track record of working with accounting systems and software (e.g., Sage, Xero, QuickBooks)
Effective verbal and written communication skills
Strong organizational and document management skills
Advanced Excel skills and ability to work with spreadsheets for financial analysis and reconciliations
Able to meet strict deadlines for reconciliations, payroll, and reporting
Experience with payroll software such as ESS Payroll or Sage Payroll advantageous
High level of accuracy and attention to detail in financial data entry and record keeping
Solid understanding of cost allocation methods and expense tracking
Understanding of tax compliance requirements (e.g., VAT submissions, PAYE)
Analytical mindset with a problem-solving approach to financial discrepancies
Duties and Responsibilities:
Ledger Accuracy & Maintenance (General and Subsidiary)
Maintain accuracy and integrity of the General Ledger and posting to relevant ledgers.
Review ledger accounts identifying and resolving discrepancies promptly.
Expense Management & Cost Allocation
Process all business expenses & ensure accurately reflected in subsidiary ledgers.
Correctly allocate expenses to the relevant cost centres (e.g., marketing, rent, utilities)
Invoice & Procurement Verification
Verify all incoming invoices against corresponding GRVs and Purchase Orders.
Ensure supplier accounts are credited & expense accounts are debited correctly.
Bank & Transaction Reconciliations
Reconcile speed point transactions for all stores with their respective bank accounts,
Identifying and resolving any discrepancies.
Reconcile daily store cash-ups with bank deposits and the main bank account
Verifying cash receipts are debited & credited to relevant accounts in GL, investigating and correcting any variances.
Complete bank reconciliations for all company bank accounts monthly as per deadline.
Payroll & Financial Administration Support
Assist with payroll administration, including preparing accurate payroll data on time.
Ensure timely submission of PAYE and the accurate generation of salary slips.
Maintain retrievable record-keeping system for audit trails debit/credit entries Financial Reporting Support & Compliance
Provide comprehensive ledger information, detailed reconciliations, and supporting documentation for all accounts as requested by the Financial Manager.
Respond promptly to queries from Executive team regarding financial data, specific ledger balances, or reconciliation items to facilitate informed financial decision-making.
Apply strict compliance with all relevant tax deadlines and financial regulations
* Support internal & external audits by providing accurate and complete financial records
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