Sorry, this position is no longer available. The job posting has expired and we are not accepting new applications at this time.
Looking for other opportunities? Check out our current job openings to find your next career opportunity.
Main Duties
· Allocate and reconcile customer payments (cash, cheques, and bank transfers) in accordance with established procedures and controls.
· Resolve customer account discrepancies and ensure the accuracy of debtors ageing reports.
· Reconcile and monitor daily sales and cash remittances, banking transactions, and related reports.
· Prepare and process daily bank deposits.
· Manage a portfolio of customers and proactively follow up on outstanding payments to ensure timely collection.
· Process credit notes accurately and in a timely manner.
Profile
· Good communication, organisational, and interpersonal skills.
· Proficient in Microsoft Office and accounting software.
· Ability to work under pressure and meet deadlines.
· Strong attention to detail and accuracy.
· High level of integrity and commitment to excellence.
Qualifications
· Holder of a Higher School Certificate with Accounting or alternative equivalent qualification
· Partly ACCA-qualified or holder of a bachelor’s degree in accounting, Finance, or a related field.
· 3 years’ work experience including at least 2 years in a similar role