Preparation of monthly management reports
Invoice preparation, submission to customers, and follow-up on payments
Manage accounts payable and accounts receivable
Assist and manage annual audit liaisons
Perform balance sheet reconciliations
Oversee treasury management including daily, weekly, and monthly cash flow planning
Maintain transaction accuracy between operational and financial systems
Identify and correct discrepancies post-deadline
Assist with budgeting, forecasting, and schedule preparation
Ensure a high level of accuracy and attention to detail in all tasks
Desired Experience & Qualifications
Matric (NQF 4) - essential
Certificate in Bookkeeping/Accounting - essential
3-5 years of accounting experience
Bookkeeping up to trial balance
Experience with local & foreign currencies (USD & ZMW)
SAIPA/SAICA articles - advantageous
Relevant undergraduate qualification - advantageous
Strong verbal and written communication skills
Organised, detail-oriented, and able to work under pressure
Code B driver's licence and own transport - essential
* A strong personality and confidence in debt collection are key for success in this role
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