Bookkeeper (Contact basis)- Sandton

Posted 5 hours ago

Our passenger dealer client based in Sandton currently holds a vacancy for a Bookkeeper on a Project base contract.
Must have minimum 3 years’ experience at Dealership level and PINACLE experience.

Responsibilities

  • Daily Bank All Cash for parts and workshop banked the day after it was received.
  • Daily Banking – All cash for parts and workshop receipted and allocated to the correct accounts and these accounts allocated daily.
  • Allocate Speed points receipted to the correct accounts and any queries resolved the same day.
  • Process Bank statement accurately and correctly before 10:00 and bank recon sent out.
  • All Debtors – Outstanding items followed up weekly no items older than 1 month.
  • Cash accounts (CASHP (parts) & CASHW (workshop)) – Daily allocation and receipting of all payments received.
  • The Brand Parts and Accessories Accounts – Reconciliation of Parts account & bringing any issues to Financial Manager’s attention immediately.
  • The Brand Debtor Account – Processing of all sundry invoices and reconciliation of the account, following up on any queries with Brand on a weekly basis.
  • Assistance at reception – Clients greeted in a friendly and professional manner and calls put through correctly.
  • General filing and housekeeping.
  • Allocate all the DIC to the correct account and do a monthly recon of the F & I DICs, warranty/maintenance and other products.
  • Investigating small outstanding or over paid amounts on Vehicle Debtors daily and allocating correctly.
  • Maintaining a clean set of Debtors as well as Creditors and solving outstanding issues with the Manager.
  • EFT payments –All creditors are loaded correctly with supporting documentation, and all transfers are loaded to the correct creditor and release timeously.
  • Natis documents – Follow up on documents daily after settlement has been done.
  • Settlements – Check all settlement packs for correct and complete documentation.
  • Petty cash – To collect slips within 2 days of money being issued.
  • Petty cash – Monthly recon done and signed off by Financial Manager.
  • Credit Applications – Do all credit reference checks within 1 day of receiving credit application (TransUnion and Other creditors).
  • Credit Applications – Follow up on credit apps at head office daily until received back (turnaround time 5 days max.).
  • Balance sheet recons correct, and deadlines met.
  • Assisting creditors as well as vehicle stock controlling.
  • Assist the Manager with any accounting related issue asked by him.
  • Cross departmental disciplines.

Also e-mail cv to mervyn@bonafidehc.co.za

Apply Online

A valid email address is required.
A valid phone number is required.