
Debtors / Creditors Clerk
- Cape Town, Western Cape
- Permanent
- Full-time
- Follow up, telephonically and via email, on all outstanding amounts on a daily basis
- Capture the detail of all follow up calls and commitments to pay from Customers in required format
- Arrange a weekly debtor meeting with sales and finance teams
- Advise Financial Manager of all invoices not paid within 90 days, and work with sales and finance on collection
- Obtain authorisation to issue suspension notice on accounts in arrears and notify Customer, NOC and Sales managers
- Work closely with Contract Managers on Customer accounts in arrears
- Review daily bank statement and allocate payments
- Request required documents from Customers e.g remittance advice
- Allocate payments based on remittance
- Check debtors discounts and rebates against Customer file
- All adjustments or journals to be authorised by Financial Manager
- Send out adhoc invoices and credit notes as soon as they are ready.
- All monthly re ocurring invoices to be send on the 15th of every month.
- Obtain confirmation from Customers of receipt of invoices
- Verify all required reports are send along with the invoices
- Send new Customer confirmation to Sales department
- Complete updated, accurate fields in Contract file
- Send documents to Customers when requested i.e. credit notes, invoices and statements
- Obtain written consent from Customer for any changes or updates
- Resolve all Customer queries in a friendly manner and as timeously as possible
- Maintain an accurate, up to date history of all queries
- Send Suspension letter for overdue accounts, once all other follow up actions have been exhausted
- Receive invoices and supplier statements via email and post from different suppliers or request outstanding invoices or credit notes from the supplier
- Ensure invoices match to purchase order numbers and resolve any discrepancies.
- Ensure Goods Receipt has been completed, match invoice to Goods Receipted
- Ensure all manually processed invoices are captured into correct GL code
- Capture invoices on SAP
- Compare Supplier statements and creditors ledger
- All other reconciling differences to be queried with relevant manager and resolved before the next payment run
- Provide accurate communication to supplier once the final management decision is made
- Investigate monthly Purchase Orders not matched to invoices and clear monthly POs
- All reconciliations to be authorised by Accountant, before invoices are loaded for payment
- Once the reconciliation has been approved, load payments into bank and submit batch to the CFO for approval and release
- Submit bank remittances and supplier reconciliations to suppliers notifying them that the payment has been released
- Work with supplier, accountant, and supply chain to resolve queries and disputes on account
- Allocate and match payments to correct supplier on SAP
- File all supplier reconciliations and attach proof of payment to the reconciliations
- Provide proper communication to all relevant parties regarding accounts payable functions
- Work with collegues to achieve overall team goals
- Highlight problems and work with team to find solutions
- Take personal ownership of problems
Internal
- Sales staff and management
- Customers, Auditors
Knowledge:
- Knowledge of debtors follow up function.
- Sound knowledge of accounting principles (debits and credits)
- Computer skills, including advanced Excel skills and basic proficiency in SAP.
- Communication skills in English (verbal and written)
- Strong reconciliation skills
- Customer Responsiveness
- Assertive
- Team Player
- Attention to detail.
- Numerical reasoning
- Deadline driven
- Accurate
- Conflict handling Skills
- Problem Solving
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