Job title : Accounts Administrator
Job Location : Western Cape, Cape Town
Deadline : November 30, 2024
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Key Performance Areas:
- To perform this job successfully, the appointed individual must be able to perform each key performance area satisfactorily.
This list of key performance areas is not exhaustive and may be changed to accommodate business needs from time to time:
- Overall responsibility to ensure administrative tasks related to all documentation of the Toyota Material Handling debtors and ensure that business operations/documents are completed correctly and timeously : accurate preparation of all finance documentation and timeous submission thereof to Toyota Material Handling debtors, managing, analysis of, reconciling, reporting and collection of all Toyota Material Handling debtors’ accounts.
- Overall responsibility to ensure all administrative functions regarding debt collection and Toyota Material Handling debtor’s reconciliations are in place, assisting with queries and facilitating the resolving of all Toyota Material Handling debtors’ queries.
- Overall responsibility to accurately and timeously prepare and distribute scheduled (monthly, weekly and daily) and ad-hoc reports as might be requested by department manager and/or national, eg: weekly reports on outstanding/overdue accounts, stop supply, etc.
- Ensure that all aspects relating to Toyota Material Handling debtors, function as an efficient resource for the company by continuously evaluating and monitoring quality and accuracy of work, implementing and driving Investors In People in line with company strategic objectives, ensure effective inter-departmental and internal communication
- Check and approve credit applications (new customers)
- Establish and maintain good customer relations and assist with difficult accounts by attending meetings with customers
- Accurate and timely preparation and submission of supplier recons for payment, ensuring that payments to suppliers are verified and collaborated against orders in the system, and the reconciliation between the balance per the system and the statement is correct
- Resolving supplier queries and disputes by communicating with suppliers regularly and providing them with supporting documentation as requested ie remittances, proof of payment etc. Continued dedication to supplier satisfaction and service excellence will be key
- Accurate recordkeeping and filing of all creditor recons and correspondence
- Ensuring that the suppliers age analysis is less than 90 days
- Ensure that Supplier BBEEE certificates are up to date
- Ensure that Suppliers Bank details are up to date as per the CFAO policy
- Clearing the GIS/K06 report on a monthly basis to ensure expenses are captured in the correct month
- Ordering of branch refreshments & cleaning; Stationery and ad-hoc
- Processing and reconciling of Petty Cash Reconciliations
- Weekly banking of check
How to Apply for this Offer
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