Key Performance Area & Main Responsibilities:
Debtors : 70% % of Time
- Bill Cost Estimates (CE‘s) in Magnetic
- Receive billing instruction from Client Service to invoice CE/signed CE (dependant on client‘s billing process)
- Locate CE number, if CE is marked as approved; bill in accordance to billing instruction received; check VAT is charged or not charged (international clients)
- Ensure Date, Inv, CE, Job, Description, CE amounts are added and displayed correctly - or as per clients request
- Create Invoice and send to client as per clients billing process
- Bill retainer invoices and agency fees
- Receive retainer schedules and process retainers based on contractual agreements
- Check all amounts tie back to schedules / contractual agreements and finalise and bill to client
- Email invoices and statements to Clients Chase for payments
- Update age analysis (debt collecting; reasons for delays in payments and follow up on queries)
- Liaise with Client Service and Managers regarding any outstanding payment / job related issues
- Reconcile Debtor accounts & resolve any queries on client accounts
- Follow up on o/s invoices from clients weekly/monthly
- Mark invoices paid in MAG/Xero – keep remittances up to date
Exports – 5% of the time
- Check general ledger accounts
- Check Customer detail ledgers
- Do journal entries (when advised)
- Do Customer Recons
- Send Statements to Clients
Cost of Sales – 5% of the time
- Compile information using Tax Invoice files
- Ensure invoices are paid before we expense on COS
Cashbook – 5% of the time
- Print /export bank statements weekly
- Liaise with Financial Manager, Creditors Clerk(s) regarding payments that are unclear
- Upload exported excel file into Xero
- Allocate payments and receipts in Xero to Debtor, Creditor & GL Accounts
- Update Cashbooks weekly
Creditors – 5% of the time
- Process Supplier Invoices / Debit Notes in Magnetic/Xero
- Ensure valid purchase orders are issued
- Balance detailed ledger accounts
- Make sure COS Supplier Invoices are submitted for payment runs
- Request Supplier Invoices / Statements
- Reconcile Supplier Accounts weekly/monthly
- Follow up if Client paid for work done before paying non-operational Supplier Invoices
- Issue remittances to Suppliers
- Follow up on queries(Internally & Externally)
Adhoc Tasks - 15%
- Complete additional finance tasks at discretion of Line Manager
- Ongoing investment in own development as well as keeping up-to-date with relevant knowledge that will be of value to the team and clients
- Ensure emails are checked regularly and responded to timeously
- Filing / organizing own digital folder in a manner that makes sense on finance server
- Add new clients and suppliers to WB as per client /supplier onboarding form
- Add new model data (Independent Contractors)
Requirements
Minimum Level of Education
- Matric with Maths and Accounting required
- Relevant finance qualification required
Years of Experience
- Minimum of 4-5 years’ Debtor’s Clerk experience