Financial Services industry is looking for a Cost Accountant with reporting to join their team. • Provide
approved & matched invoices/costs/credit notes in accounting software Allocate approved invoices to ancillary information input by finance Request account statements from active suppliers at a minimum monthly differences between the supplier statement and accounting records on the approved template Identifying transactions that create the difference between the accounting records & suppliers' statement Ensure creditor's deadlines Ensure invoices/credit notes are not captured on the accounting software more than once Ensure
Oversight of preparation of monthly management accounts of subsidiaries Oversight of preparation of Quarterly including income tax, provisional tax, VAT, etc. Accounting for projects relating to subsidiaries Creditors treasury clerks 3 accountants Subsidiaries: Oversee preparation of monthly management accounts for 3 subsidiaries subsidiaries Oversee 3 accountants' preparation of monthly management accounts Prepare related group reporting Updating insurance requirements for the subsidiaries Accounting for new projects including new infrastructure
allocation entries Raise accrual journals Correctly account for prepayments Prepare monthly balance sheet reconciliations accordance with payment terms of the creditor's account Ensure only invoices that have been processed are entities (including raising POs if required) Request account statements from active suppliers at a minimum monthly deadlines Ensure invoices/credit notes are not captured on the accounting software more than once Ensure box Non-negotiable Essential: Matric Desirable: Accounting or Finance Degree Minimum of 3 years experience
service-oriented. Strong sense of ownership and accountability. Ability to work within a team and independently experience in the IT environment. Familiarity with the credit industry.
conditions. Performing reconciliations of suspense accounts and managing PROMOS. Preparing bookings for each departure date Bank reconciliation of Collections account Credit card payment reconciliations Investigations Agents Administering and reconciling suspense accounts Allocation of PROMO funds to voucher bookings management of PROMO organizers Reconciliation of PROMO accounts Travel insurance: Providing bordereaux insurance Submitting invoices Reconciling invoices and creditors accounts Analysing bookings to ensure all bookings have