is one of the leading sterile vaccine manufacturers rooted in Africa, with our core purpose being to "protect life". We are looking to hire a dynamic, passionate, confident, proactive and meticulous
Creditors Controller
to join a goal-oriented team
QUALIFICATIONS NEEDED:
Bookkeeping diploma or degree with accounting as subject
Matric/Grade 12 equivalent
Experience needed to deliver the role seamlessly:
At least 2 years experience in creditors function
Computer literacy
Strong reconciliation skills.
Banking and accounts administration experience.
Preferred:
SAP experience
Working knowledge of SARS related legislation
Experience in having faced successfully completed financial audits
KEY DUTIES & RESPONSIBILITIES OF THE ROLE:
Core Technical Delivery:
Ensure that the required documentation has been received for processing purposes
Verify prices and services to the purchase orders and ensure that all purchase orders are signed of as for approval
Query variances with suppliers or company representor
Ensure that documents are processed daily
Contact suppliers for invoices not received
Raise expense accruals for invoices not received to ensure no understatement of expenses
Ensure that paperwork is approved in line with the delegation of authority before processing
Prepare accurate individual creditors reconciliations from creditors statements
Review creditors reconciliations against creditors Age Analysis and resolve all outstanding items on the age analysis
Investigate and resolve all outstanding items on the creditors reconciliations on a monthly basis - 30 days
Prepare and submit documentation as follow: Creditors Reconciliations, Creditors Statement, Invoices to the Financial Controller for approval of payment
Ensure that suppliers are paid on the last working day of month.
Ensure that all foreign vendors are paid within SARB regulations
Submit EOIs to Bank when documentation is available.
Prepare and update a schedule of foreign payments.
Filing of all documents on a monthly basis as per the agreed standard
Assist the Finance Manager with ad-hoc tasks as per deadlines and work scope given.
Ensure that bank account is processed daily by no later than 12:00
Prepare bank reconciliation and submit for approval weekly
Ensure that there are no outstanding or un-reconciling items on the bank reconciliation at month end
All balance sheet GL accounts reconciled and verified - 100% accurate
Accurate journals done on a monthly basis
Reconcile travel accounts to AMEX card and Travel IT report and capture relevant transactions in SAP.
Reconcile purchasing cards to the bank and capture relevant transactions in SAP.
Application Deadline: 23 January 2026
If you do not receive a response from us within three weeks after closing date please understand that your application was not successful.
Disclaimer:
Dear Applicant, we appreciate your interest in joining our organization. It is imperative for us that you understand how we handle your information. We are committed to ensuring the security and confidentiality of the information you provide. Your personal details will be collected for the sole purpose of the application process and will be used strictly for that purpose. By applying, you acknowledge and consent to the collection, use, and protection of your personal information in accordance with our privacy policy. If you have any inquiries or concerns, our Human Capital department is available to provide clarification. We look forward to reviewing your application.
For detailed information on data handling, please review our privacy notice: