Broll Property Group Accounting / Finance Jobs in Durban
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POSITION PURPOSE
Responsible for analyzing and reconciling detailed general ledger accounts as assigned. Keeps records and accounts accurate and current. Researches and resolves discrepancies and accounting errors. Completes related reports, summaries, and records. Creates monthly expense reports. Performs related clerical duties.
ESSENTIAL FUNCTIONS AND BASIC DUTIES
Assumes responsibility for the accurate and timely completion of assigned accounting functions.
- Reviews source documents and records daily transactions. Balances and posts daily write-ups and journals.
- Computes figures and prepares recurring account statements.
- Posts a number of transactions to the appropriate general ledger account.
- Reconciles general ledger accounts as assigned.
- Performs miscellaneous filing/sorting of checks, journals, daily write-ups, etc.
- Completes required records and reports and maintains files. Creates expense reports as assigned.
- Completes various accounting functions in accordance with established policies and procedures, including:
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- Prepare monthly financial reports
- Assistance in the budget process and review thereof
- Assistance in monthly forecasts and review thereof
- Bank reconciliations
- Ensuring all invoices for the period have been authorised and captured in creditor module, verifying that expense allocations are accurate and posting authorized batches
- Verify payment batches and authorization of payments on the bank account.
- Creditors reconciliation’s
- Debtors reconciliations, Invoicing, receipting
- Reconciling general ledger to debtors ledger, Balance sheet and income statement, loan balances, company accounts
- Preparing trial balances from source documents
- Preparing balance sheets and income statements
- Preparing notes to the reports
- Consolidations
- Preparing monthly group consolidation
- Filing copies of final monthly reports
- Maintaining back ups of accounting package data
- Participate in annual audit
- Statutory and municipal returns
- Complete and submit all statutory and municipal returns
- VAT reconciliations, Submissions and payments
- Assistance with importing bank statements where necessary and posting transactions
- Monitoring of cash flow
- Preparation of rental and cash transfers
- Calculation and verification of management fees
- Maintaining fixed asset register as well as calculation of depreciation
- Sectional Title experience
- Experience in audits and liaising with auditors
Assumes responsibility for effectively researching, tracking, and resolving accounting problems and discrepancies.
Assumes responsibility for establishing and maintaining effective communication and coordination with area personnel and with management.
- Maintains regular contact with other departments to obtain information and/or to correct transactions.
- Assists accounting personnel as needed.
- Keeps management informed of area activities and of any significant problems. Reports the status of all account reconciliations to the Controller.
- Attends and participates in meetings as required.
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Assumes responsibility for related duties as required or assigned.
- Ensures that the work area is clean, secure, and well-maintained.
- Completes special projects as assigned.
PERFORMANCE MEASUREMENTS
- Accounting documents, records, and reports are accurate, current, and timely.
- Accounting errors or discrepancies are promptly discovered and resolved (or referred).
- Good communication and coordination exists with Company personnel. Assistance and support are provided as needed.
- Management is appropriately informed of area activities.
- Accounting functions are completed in accordance with established standards, policies, and procedures.
EDUCATION/CERTIFICATION:
- Matric or accounting diploma or part B Comm or similar degree
- Additional accounting or bookkeeping coursework is preferred.
REQUIRED KNOWLEDGE:
- Knowledge of basic accounting concepts and procedures including account reconciliation.
- Sectional title knowledge is a requirement
- Knowledge of related computer applications.
EXPERIENCE REQUIRED:
- One to two years of previous accounting experience is preferred.
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