Vacancy Description
Responsibilities: Perform the daily reconciliation of seven bank accounts. Reconcile clearing accounts and investigate any variances. Capture accounting transactions accurately. Verify and follow up on invoices, statements and payments. Prepare account reconciliations and supporting schedules. Maintain accurate financial records and filing systems. Assist with monthly accounting schedules and audit requirements. Respond to finance-related queries and support the wider finance team. Requirements: â Relevant Finance or Accounting qualification (Diploma/Degree advantageous). â Previous experience as an Accounts Clerk or in a similar finance role. â Strong bank reconciliation experience is essential. â Excellent attention to detail and numerical accuracy. â Proficiency in Microsoft Excel and financial systems. â Strong communication and organisational skills. â Ability to work under pressure and meet tight deadlines Apply Today! If you have the skills and are ready to hit the...
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