Purpose of the Job Perform bank reconciliations by ensuring that reconciling items are followed up on and resolved on time thereby ensuring accurate financial records enabling informed business decisions. Key Accountabilities Perform Reconciliations Ensure that bank reconciliations are performed monthly and that reconciling items are followed up on and resolved enabling accurate accounting records Perform Month End & Year End Activities Ensure that the month end and year end activities and processes are followed, and deadlines are met enabling a smooth period end close and audit process. Accounting Activities Ensure that all accounting journal entries are processed timeously and accurately. Ensure daily bank accounting activities are timeously captured, reconciled and cleared. ACB Monitoring Monitoring daily collections, ensuring all collections are actioned and follow up with stakeholder Query Logging & Resolution Ensuring that all queries are logged and resolved within the set SLA Requirements Minimum NQF level 6 - Diploma in Accounting 5 years' experience performing accounting reconciliations SAP experience (FI module) Advantageous NQF level 7 - Degree in accounting Previous experience with bank, customer, vendor or GL recons Working Conditions Month end and year end overtime may be required Applications Close: 24 May 2026 #J-18808-Ljbffr
French Speaking Reconciliation Accountant (Fixed Term Contract)
VIVO ENERGY
Remote, Remote
Published 10 days ago
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