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.
KEY AREAS OF RESPONSIBILITY
Processing of monthly invoices
Reconciliation of travel agent commissions
Daily checking of Bank statements for direct deposits to be distributed to Debtors/Reservations/Front Office.
To process sundry payments via EFT.
Cash book reconciliations.
Processing of Journals given by the Financial Controller.
Reconcile inter-company accounts.
Monthly reconciliation of Petty cash and Floats
Assisting in preparation of Month End Packs.
Files documents in an accurate and orderly format.
On occasion, would have to rotate jobs with the cashbook clerk/creditors clerk in order to have a full understanding of all departments.
Assist with any Finance or accounting related requirements.