Main Duties
· Allocate and reconcile customer payments (cash, cheques, and bank transfers) in accordance with established procedures and controls.
· Resolve customer account discrepancies and ensure the accuracy of debtors ageing reports.
· Reconcile and monitor daily sales and cash remittances, banking transactions, and related reports.
· Prepare and process daily bank deposits.
· Manage a portfolio of customers and proactively follow up on outstanding payments to ensure timely collection.
· Process credit notes accurately and in a timely manner.
Profile
· Good communication, organisational, and interpersonal skills.
· Proficient in Microsoft Office and accounting software.
· Ability to work under pressure and meet deadlines.
· Strong attention to detail and accuracy.
· High level of integrity and commitment to excellence.
Qualifications
· Holder of a Higher School Certificate with Accounting or alternative equivalent qualification
· Partly ACCA-qualified or holder of a bachelor’s degree in accounting, Finance, or a related field.
· 3 years’ work experience including at least 2 years in a similar role