Overview

Clerk: Reconciliations (Fixed-Term Contract) Jobs in Cape Town, Western Cape, South Africa at Ackermans

Title: Clerk: Reconciliations (Fixed-Term Contract)

Company: Ackermans

Location: Cape Town, Western Cape, South Africa

We've got an exciting, brand new opportunity at Ackermans as a Clerk: Reconciliations to join our team on a 12 month fixed-term contract.

This Clerk: Reconciliations role will be responsible for the reconciliation of applicable general ledger accounts and monitoring the completion of GL Recons for all finance teams..

We're a fully in-office team. This role is based at our Support Centre in Kuils River, Cape Town.

QUALIFICATIONS required:

Essential:

  • National Diploma/ National Certificate in Accounting or Taxation

Preferred:

  • B.Comm Degree (Accounting) /BTech

KNOWLEDGE required:

  • Strong financial reconciliation skills
  • General ledger knowledge
  • Good knowledge of financial administration and basic accounting principles and their application (debits, credits, journals, reconciliations)
  • Good understanding of tax and VAT legislation

EXPERIENCE & SKILLS required:

Essential:

  • 2 -3 years relevant finance administration experience, including strong reconciliation experience.

Preferred:

  • Retail experience
  • 2 – 3 years relevant experience in a tax role will be advantageous.

SKILLS required:

  • Computer skills, intermediate to advanced Excel
  • Ability to work independently as well as in a team
  • Attention to detail
  • Above average numerical ability
  • Deadline driven
  • Ability to work under pressure and with large volumes of work

KEY RESPONSIBILITES:2) Resolving outstanding Items3) Trial Balance Checklist4) Assist with monthly tax and VAT compliance

  • Prepare reconciliations
  • to reconcile various Balance Sheet Accounts for review by Accountant, including (but not limited to:
  • Designated payroll accounts
  • Petty Cash – Trial Balance to Cash-on Hand
  • Staff purchases – Tenacity clearing account
  • Overseas travel
  • Intercompany Loans
  • Query and follow up on reconciling items and ensure that all reconciling items are cleared within 90 days
  • Escalate items outstanding for more than 30 days
  • Journalize corrections
  • Making sure a reconciliation is completed for all Balance Sheet accounts
  • Ensure that the reconciliation balances to the Trial Balances and have the correct narration for reconciling items
  • Update and maintain account status changes and making sure that the details pertaining to the Responsible Person or Team is correct and updated on a regular basis as and when changes occur
  • Monthly preparation and filing of Ackermans SA & BLNS+ Z and Pepkor Speciality SA & BLNS VAT and Import VAT returns
  • Arrange VAT & Import VAT Payments to revenue authorities
  • Assisting with responses to VAT verifications and audits
  • Monthly preparation of VAT Accounts recons
  • Monthly preparation of journals
  • Obtain customs assessments and arrange payment thereof
  • Monthly preparation and filing of withholding tax returns
  • Arrange payment of WHT to revenue authorities
  • Monthly preparation of intercompany admin fees invoices
  • Arrange payment of intercompany admin fees
  • Monthly preparation of WHT Account Recons
  • Monthly preparation of tax compliance files
  • Assisting with SA and BLNS Income Tax, PAYE, WHT and VAT tax authority queries and audits
  • Assisting with queries and reporting to Pepkor Trading
  • Assist with ad hoc queries
Upload your CV/resume or any other relevant file. Max. file size: 800 MB.