Job role overview

  • Date posted

    April 20, 2026

  • Closing date

    May 20, 2026

  • Hiring location

    Durban KwaZulu-Natal

  • Qualification

    National Certificate

  • Experience

    2 years

Description

Job Description

  • The purpose of this role is to ensure the reconciliation of the assigned accounts are maintained on a monthly basis.                                                                                    

Responsibilities
Cashbook processing and Bank Recon:

  • Preparation of monthly bank reconciliation for each bank account, both local and foreign, to reconcile the bank statements to the General Ledger bank balance in order to investigate variances or discrepancies which may result in loss. 
  • Processing of monthly interest and bank charges

Variance Analysis:

  • Identify and investigate cash variances within stores and instances of fraud in order to resolve differences and avoid loss.
  • Assist team with adhoc tasks

Qualifications
Knowledge/ Skills:

  • Computer literate – ability to work on Excel, MS Outlook, Dynamics (D365) an advantage
  • Experience working with bank reconciliations
  • 2 years’ experience working in finance 

Education

  • Matric
  • Finance diploma

How to Apply

Interested and Qualified candidates should Click here to Apply Now

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