at Building Company
Location Port Elizabeth, South Africa
Date Posted Sep 18, 2020
Category Accounting Finance Jobs
Job Type Full-time


  • Review payments and creditors reconciliations
  • Load and Pre-authorise Payments
  • Maintain Operational Fixed Asset Registers
  • Processing of journals
  • Preparation of balance sheet reconciliations
  • Prepare accounts up to Trial Balance level
  • Reconciliation of Operational Petty Cash
  • Journal all Daily cash up journals
  • Ensure all income statement items are posted into the correct cost codes
  • Receive accrual listing for all stores from Admin clerks
  • Review trial balance at month end and raise necessary accruals to report a complete and accurate figure at month end.
  • Other tasks as requested by Financial Manager
  • Behaves in a manner and performs their duties and responsibilities in a manner that upholds The Building Company values:

- Honesty

- Respect

- Accountability

- Energy

- Resourcefulness

Job Requirements
  • BCompt Degree (with articles preferable)
  • 4 year’s experience in a similar role
  • Kerridge knowledge would be an advantage
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