Qualifications
Matric / Grade 12,
A tertiary qualification in Accounting or Bookkeeping (desirable)
Experience
More than 5 years work experience in a similar role with preference to agricultural sector experience
Knowledge of basic Accounting and Bookkeeping principles
Duties
Consistently achieve agreed targets by conducting the following:
To ensure that details of orders are correct and correspond with invoices and they comply with the VAT Act in order to drive down risk and associated costs to the company
To ensure the accuracy of transactions captured to the system in order to allow for accurate accounting and reporting.
To ensure that the sale or receipt of products is validated and then captured to the ERP system in order to promote accurate production, stock and revenue forecasts.
To provide accurate and timeous reconciliations in order to ensure that outstanding balances are correct.
To perform a variety of administrative tasks including, filing, answering phones, handling queries, assisting with audit preparation and queries.
To deal with queries or complaints made by the client (external/internal) by conducting an analysis/investigation into the details and either assisting or escalating the issue, in order to ensure efficient customer service and timeous feedback
To promote effective teamwork within the unit by ensuring continuous communication/feedback, sharing information and assisting and supporting colleagues in order to drive achievement of departmental goals
Emerging farmers – update receipts and allocate to customers account, post monies in OFER bank to EMER customer account, post interest and legal fees on customer account, send out statements
Query AR vs GL difference
Legal – Capture invoices for payment received from attorneys and allocate legal fees to the customer’s account via journal
Compile cashflow forecast from BU’s, capture Collections vs Assumption on forecast
Keep management informed of progress with meeting targets
Compiling age analysis and monitoring overdues
Ensure Debtors master files are always up to date
Run interest and statements on AX
Create sales orders
Approve all sales orders
Allocate monies to customers’ accounts
GL Recons (Debtors, GDNI, BANK)
Recons on insurance accounts and legal accounts to ensure correct info is given for summons and refunds
PO’s, SO’s, Journals, etc
Debt collections
Ad-HOC- CFF
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