Accounts Payable Clerk needed at Omnia LTD

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Job title : Accounts Payable Clerk

Job Location : Gauteng,

Deadline : January 11, 2026

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Overview    

  • To ensure that details of orders are correct and correspond with invoices and they comply with the VAT Act in order to drive down risk and associated costs to the company. 
  • To ensure the accuracy of transactions captured to the system in order to allow for accurate accounting and reporting. 
  • To provide accurate and timeous reconciliations in order to ensure that outstanding balances are correct.
  • To perform a variety of administrative tasks including, filing, handling queries, assisting with audit preparation in support of the unit’s activities.
  • To deal with queries or complaints made by the client (external/internal) by conducting an analysis/investigation into the details and either assisting or escalating the issue, in order to ensure efficient service and timeous feedback.
  • To promote effective teamwork within the unit by ensuring continuous communication/feedback, sharing information and assisting and supporting colleagues in order to drive achievement of departmental goals.

Qualifications    

  • Relevant finance qualification or studying towards

Experience    

  • 3-5 years’ experience in a full function accounts payable role specializing in foreign creditors / currency. Experience in dealing with cross border transporters and required cross border documentation will be advantageous.  

Duties    
Accounts Payable

  • Receive invoices from transporters for processing on the system (local and or foreign)
  • Obtain appropriate allocations for invoices and ensure invoices are authorized for payment.
  • Obtain and check all statutory documentation required for processing an invoice
  • Check that all required documents are uploaded and authorized on Sizanani
  • Match transporter invoices to receipted loads via AX Dynamics
  • Ensure that transport rates are correct as per approved transport rates from the Planning Department.
  • Inspect invoices and determine if they meet the requirements of a tax invoice for the allocation and claim of VAT Input.
  • Process & match invoices on the system once they have been authorized via purchase orders.
  • Obtain creditors’ statement and prepare the creditors’ reconciliation to determine the payment.
  • Generate EFT payment on AX Dynamics and import to the banking systems.
  • For EFT payments, ensure that all payments have been authorized and have been released successfully.
  • File all relevant payment recons & invoices appropriately
  • Follow up on any outstanding queries relating to invoices that could not be processed for payment and any other supplier issues
  • GRNI and transport accrual management and analysis
  • Creditors ageing management and analysis
  • Cash Flow Management
  • Master data update and maintenance
  • Filing & metro-filing
  • Journals
  • Audit preparations

Opening of new vendors

  • Ensure documents received from the supplier are correct, required checks are performed and the necessary reports printed
  • Ensure that the AP manager/ Supervisor has approved the application and assigned it to a creditor clerk 
  • Opening the account and ensuring it is allocated to the creditor clerk that has been assigned to the account
  • Completion of information relevant to any credit applications requested by the supplier
  • Ensure that a prospective supplier receives all necessary information regarding the opening of an account as per Omnia’s new vendor application process

General

  • General admin
  • Balance Sheet recons when required
  • Assistance on other accounts payable areas when required
  • Ad hoc finance projects
  • Audit preparations (internal, external, BEE)

Job Competencies    

  • To ensure that details of orders are correct and correspond with invoices and they comply with the VAT Act in order to drive down risk and associated costs to the company. 
  • To ensure the accuracy of transactions captured to the system in order to allow for accurate accounting and reporting. 
  • To provide accurate and timeous reconciliations in order to ensure that outstanding balances are correct.
  • To perform a variety of administrative tasks including, filing, handling queries, assisting with audit preparation in support of the unit’s activities.
  • To deal with queries or complaints made by the client (external/internal) by conducting an analysis/investigation into the details and either assisting or escalating the issue, in order to ensure efficient service and timeous feedback.
  • To promote effective teamwork within the unit by ensuring continuous communication/feedback, sharing information and assisting and supporting colleagues in order to drive achievement of departmental goals
  • General    

Systems

  • MS Excel(advanced)
  • MS Word
  • AX Dynamics added advantage

Deadline:5th January,2025

How to Apply for this Offer

Interested and Qualified candidates should Click here to Apply Now

  • Accounting / Financial Services  jobs

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