Bookkeeper

at  Trafalgar Property Management Pty Ltd

Cape Town, Western Cape, South Africa -

Start DateExpiry DateSalaryPosted OnExperienceSkillsTelecommuteSponsor Visa
Immediate17 Jul, 2024Not Specified18 Apr, 20242 year(s) or aboveCompanies Act,Microsoft Office,Income Tax ActNoNo
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Description:

The Trafalgar Cape Town Office has a vacancy for a Community Scheme Bookkeeper to join their dynamic and strategic team. You need to be analytical, proactive, deadline-driven, and can work well under pressure.

Duties & Responsibilities

  • Monthly PTB Review
  • Analysis of General Ledger accounts to ensure information accuracy, completeness and validity. Qdocs to be used as a cross-reference.
  • Capturing journal entries to correct misallocations and to update external and investment account balances.
  • Noting any variances or concerns on the Chairman Pack report and escalating same to the designated Portfolio Manager.
  • Advising the Portfolio Manager of new or existing insolvent schemes.
  • Monthly updating of municipal reconciliations.
  • Monthly escalation of insurance claims, petty cash and legal fee enquiries to the Portfolio Manager.
  • Monthly recording of PTB distribution date on building control schedule.
  • Budget Preparation and Loading
  • Prepare the annual budget using the Trafalgar template and Budget Questionnaire.
  • Unibase multi-month columnar report and Qdocs invoice report to cross-reference financial information.
  • Trustee-approved or AGM-approved budget to be loaded on Unibase timeously once received from the Portfolio Manager.
  • Taxation
  • Prepare and submit the annual income tax return with reference to the audited financial statements.
  • Prepare and submit the monthly or bi-monthly VAT return with reference to the Unibase VAT report and exception reports.
  • Quarterly request a SARS statement of account and ensure no outstanding returns, payments or refunds.
  • Annual Audit File Preparation
  • General ledger to be thoroughly scrutinised for financial information accuracy, completeness and validity. All outstanding debtors/creditors are to be raised and Balance Sheet items are to be confirmed and agreed to third-party information before the audit report is prepared.
  • Qdocs audit report and any required attachments to be copied to CD and circulated to the auditor promptly.
  • Review of Audited Financial Statements, Resolution of Audit Queries, Distribution of AFS and Capturing of Audit Adjustments on Unibase.
  • Timeous and precise resolution of audit queries with the assistance of the Portfolio Manager and Trustees when requested.
  • Draft AFS to be scrutinised and all audit journals related to the Balance Sheet to be investigated, understood and questioned if necessary
  • AFS to be distributed to the Portfolio Manager once all queries are resolved.
  • Adjusting audit journals to be passed and agreed on Unibase once the AFS is approved.
  • General
  • Daily review of email/correspondence queries and attendance and resolution of same within a turnaround of 24 hours as far as possible.
  • Daily updating of building control schedules to accurately record the financial status of the building.

Desired Experience & Qualification

  • Tertiary qualification graduate (ideally finance or accounting)
  • At least two year’s experience in a bookkeeping/accounting environment
  • Audit background (advantage)
  • Computer knowledge – Microsoft Office
  • Understanding ST Act and Companies Act
  • Understanding of the Income Tax Act and VAT Act
  • Basic Accounting principles
  • Ability to read and understand Sectional plans

Kindly forward your detailed CV to ctrecruitment@trafalgar.co.za
Please take note that correspondence will only be conducted with shortlisted candidates. Please consider your application unsuccessful if you do not hear from us within two weeks.

Responsibilities:

  • Monthly PTB Review
  • Analysis of General Ledger accounts to ensure information accuracy, completeness and validity. Qdocs to be used as a cross-reference.
  • Capturing journal entries to correct misallocations and to update external and investment account balances.
  • Noting any variances or concerns on the Chairman Pack report and escalating same to the designated Portfolio Manager.
  • Advising the Portfolio Manager of new or existing insolvent schemes.
  • Monthly updating of municipal reconciliations.
  • Monthly escalation of insurance claims, petty cash and legal fee enquiries to the Portfolio Manager.
  • Monthly recording of PTB distribution date on building control schedule.
  • Budget Preparation and Loading
  • Prepare the annual budget using the Trafalgar template and Budget Questionnaire.
  • Unibase multi-month columnar report and Qdocs invoice report to cross-reference financial information.
  • Trustee-approved or AGM-approved budget to be loaded on Unibase timeously once received from the Portfolio Manager.
  • Taxation
  • Prepare and submit the annual income tax return with reference to the audited financial statements.
  • Prepare and submit the monthly or bi-monthly VAT return with reference to the Unibase VAT report and exception reports.
  • Quarterly request a SARS statement of account and ensure no outstanding returns, payments or refunds.
  • Annual Audit File Preparation
  • General ledger to be thoroughly scrutinised for financial information accuracy, completeness and validity. All outstanding debtors/creditors are to be raised and Balance Sheet items are to be confirmed and agreed to third-party information before the audit report is prepared.
  • Qdocs audit report and any required attachments to be copied to CD and circulated to the auditor promptly.
  • Review of Audited Financial Statements, Resolution of Audit Queries, Distribution of AFS and Capturing of Audit Adjustments on Unibase.
  • Timeous and precise resolution of audit queries with the assistance of the Portfolio Manager and Trustees when requested.
  • Draft AFS to be scrutinised and all audit journals related to the Balance Sheet to be investigated, understood and questioned if necessary
  • AFS to be distributed to the Portfolio Manager once all queries are resolved.
  • Adjusting audit journals to be passed and agreed on Unibase once the AFS is approved.
  • General
  • Daily review of email/correspondence queries and attendance and resolution of same within a turnaround of 24 hours as far as possible.
  • Daily updating of building control schedules to accurately record the financial status of the building


REQUIREMENT SUMMARY

Min:2.0Max:7.0 year(s)

Accounting

Accounts / Finance / Tax / CS / Audit

Accounts Management

Graduate

Finance

Proficient

1

Cape Town, Western Cape, South Africa