Key responsibilities:
- Reporting to the Banking Supervisor, the primary responsibility is to reconcile company bank and general ledger accounts and reporting all discrepancies;
- Ensure the correct documentation is collected from stores with regards to discrepancies;
- Incorporate new business developments into the daily reconciliation process;
- Liaise with local and foreign banks regarding charges and cash banking queries.
- Matric;
- Post-matric qualifications would be advantageous.
- Experience in a fast-paced and dynamic finance retail environment;
- Experience in general finance processes including, inter alia, bank reconciliations, foreign currency translation, and conversion, bank card queries, resolving bank discrepancies etc.;
- Experience within a team dynamic would be advantageous.