Opportunity Description
Responsibilities
- Preparation of monthly management accounts
- Processing of: point of sale month‑end reports
- Cashbooks and bank reconciliations
- Salary journals
- Maintenance and processing of fixed‑asset journals, including depreciation, additions, and disposals
- Preparation and clearing of debtors’ reconciliations
- Ensuring that all EDI payments are receipted by stores
- Monitoring and follow‑up of stock‑count variances
- Reconciliation of VAT and PAYE
- Preparation of VAT and PAYE returns, submissions, and payments
EDUCATION AND EXPERIENCE REQUIRED
- 2 years bookkeeping experience
- Experience using Excel and Pastel
- Interpersonal skills
- Excellent communication skills
- Attention to detail
- Ability to liaise with staff at all levels