Junior Bookkeeper - Repe Villa (Pty) Ltd
(2024-10)
- Manage daily financial operations across retail locations.
- Reconcile cash registers and perform daily cash-ups.
- Process and capture customer and supplier invoices.
- Generate sales reports and analyses trends for management insights.
- Oversee petty cash transactions and maintain accurate records.
- Conduct on-site financial compliance checks at retail outlets.
- Support stock reconciliations and resolve financial discrepancies.
- Handle customer complaints and maintain updated financial reports.
Accounting Clerk - Uys Van Graan and Associates Inc.
(2022-09 - 2024-09)
Reason for leaving: Resigned.
- Submitted VAT201, PAYE (EMP201 & EMP501), Income Tax, and Provisional Tax returns.
- Prepared monthly management accounts and processed payroll.
- Performed full bank, creditors, debtors, and petty cash reconciliations.
- Managed client's statutory compliance with relevant departments.
- Updated asset registers and ensured accurate account allocations.
- Liaised with clients and handled general accounting duties.
Accounting Clerk - Mankweng Construction and Projects (Pty) Ltd
(2020-10 - 2021-07)
Reason for leaving: Company restructuring/laid off.
- Processed invoices and managed COUPA procurement system.
- Handled monthly payroll, EMP201 submissions, and VAT201 reports.
- Managed petty cash and reconciliations.
- Followed up on payments and ensured accurate bookkeeping.
Trainee Accountant Intern - Lagab Financial Services CC
(2019-01 - 2020-09)
Reason for leaving: Internship contract ended.
- Performed bank reconciliations and prepared depreciation journals.
- Captured financial data for schools and SME clients.
- Processed supplier/customer invoices and prepared statements.
- Registered individuals/companies and submitted VAT returns via SARS eFiling.
- Assisted in the preparation of monthly management accounts.