An awesome career opportunity awaits!
Requirements
- Grade 12
- Diploma or Degree in Business Administration (or a related field).
- At least 2-3 years or more relevant experience in dealing with debtors and creditors.
- Experience with Purchasing processes and principles.
- Familiarity with office equipment, such as printers, fax machines, copy machines, and phone systems.
- Experience with Microsoft Office Outlook, PowerPoint, Word, Excel (essential).
- Experience in handling and controlling stock (Advantageous).
- Knowledge of administrative and clerical procedures and systems.
- Knowledge of office management systems and procedures.
- Knowledge of Pastel 18, Sage Accounting, QuickBooks, or other applications.
- Knowledge of Basic Accounting principles (advantageous).
Client Liaison
- Handling inquiries and incoming work requests.
- Answering and responding to emails and phone calls and forwarding communications to appropriate parties as necessary.
- Assisting clients face-to-face, and any other form of telecommunication (i.e., telephone, email etc.).
- Attending to all internal or external queries.
- Sending out company-wide emails.
- Setting up meetings, as necessary.
- Handle all administrative filing.
- Handle and organize office filing systems effectively.
- General office management - maintain stationery, office equipment and inventories.
- Sending emails.
- Typing up correspondences, if necessary.
- Proving backup and administrative support for Mark Howard and Thomas Howard, and drafting of tenders/proposals/quotations, where necessary.
- Keeping stock of tea, coffee, milk, and sugar.
- Assisting the Contracts Managers with setting up and printing Health and Safety files.
- Managing Petty cash, if necessary.
- Regularly check and maintain record of necessary office supplies.
- Communicate regularly with staff to help procure needed items.
- Provide administrative and clerical support with regards to all the purchasing.
- Types reports, purchase orders, memoranda, and other documents.
- Research vendors and collects prices, specifications, and other data related to goods and services.
- Establish and maintains recordkeeping system for purchasing.
- Keep up-to-date records of POD's.
- Performs other duties as assigned.
- Manging and Controlling Stock.
- Performing accurate data entry and filing tasks for accounts payable, purchase orders, equipment inventory.
- Prepare, manage, control, and verify accounts payable records.
- Ensuring accurate processing of purchase orders, supplier invoices, and cash book processing.
- Review supplier invoices already captured on Sage Accounting for completeness and accuracy.
- Ensuring all supplier invoices are VAT compliant.
- Reconciling supplier accounts - Agree monthly statement balances received from suppliers to the balance on Accounting Sage thereby identifying discrepancies on accounts.
- Investigate any queries (invoicing or other) and resolve discrepancies.
- Management of creditors accounts, which will include drafting of reports on of all monies that are due.
- Collection, filing, and forwarding of all accounts, statements and invoices to the relevant persons.
- Conduct periodic reconciliations of all accounts to ensure their accurate.
- Contacting of Finance Manager to make payments for any outstanding accounts.
- Communicating with Creditors when accounts are outstanding to provide feedback and maintain the relationships.
- Performing accurate data entry for all client accounts (accounts receivables and cash sales) quotes, invoicing, credit notes.
- Ensuring timeous and accurate invoicing for services rendered.
- Ensuring client invoicing requirements are met (invoice numbers, VAT compliance, Order numbers etc.).
- Prepare, manage, control, verify and reconcile accounts receivables records.
- Attend to account/customer queries in a timely manner.
- Understanding financial accuracy and the responsibility involved, including being accountable to Mark Howard, and the accounts in this regard.
- Emailing customer statements, invoices, PODs monthly or as requested.
- Conduct periodic reconciliations of all accounts to ensure their accurate.
- Investigate and resolve any discrepancies.
- Collection, filing, and forwarding of all accounts, statements / invoices to the relevant persons.
- Reviewing of customers' accounts to identify overdue accounts and following up for payments.
- Ensuring timeous collections from clients with payment terms - Following up on calls and emails if payment has not been received within the credit terms.
- Administer debt collection - facilitate payment of invoices due by sending reminders and contacting customers to follow up on outstanding accounts.
- Timeously flag overdue accounts to relevant staff and management and put these accounts on hold.
- Escalation of defaulting debtors to Finance Manager.
- Drafting of letters, emails, and other communication.
- Manage debtor account credit limits within company policy guidelines.
- Facilitate and assess new account applications in line with company policy guidelines.
- Open new accounts after all the necessary validations have been done.
- Administer and maintain account details, specifically customer details, discounts, settlement discounts, terms, rebates, etc.
- Process credit notes.
- Perform day to day financial transactions, including verifying, classifying, computing, posting, and recording accounts receivables' data.
- Daily, weekly, and monthly reporting to management.
- Various Ad hoc duties.
Desired Skills
- Office Administration
- Debtors
- Creditors
- Pastel 18
- Sage Accounting
- QuickBooks
- Client Liaison