Snr Bookkeeper Half Day/Flexi hours (58007)

Job title: Snr Bookkeeper Half Day/Flexi hours
Job type: Full-time
Emp type:
Salary type: Great Compensation
Location: Kloof
Job published: 07 January 2026
Job ID: 58007

Job Description

Our client in the construction/ communication sector is seeking a highly efficient senior Bookkeeper for half day. The successful candidate will be responsible for maintaining accurate financial records, managing day-to-day bookkeeping functions, and supporting financial control across multiple projects and operational cost centers. This role requires strong technical accounting skills, the ability to work under pressure in a deadline-driven environment, and effective communication with stakeholders across operational, technical, and executive levels. Reporting directly to the Financial Director (FD).

Qualifications & Experience

  • Senior Certificate (NQF 4).
  • Certificate in bookkeeping or accounting is essential.
  • A relevant financial qualification will be advantageous.
  • Proven experience working with Pastel and/or Xero accounting systems.
  • Experience working with multiple currencies and foreign exchange (Forex) transactions.
  • Bookkeeping experience up to trial balance.
  • Experience with both local and foreign cash books.
  • Strong computer literacy, including MS Office and advanced Excel skills.

Capabilities & Competencies

  • Strong verbal and written communication skills.
  • Highly detail-orientated, structured, and organized.
  • Ability to prioritize and multitask across multiple projects and deadlines.
  • Comfortable working in a fast-paced, operational environment.
  • Ability to communicate effectively with stakeholders at all levels, from site-based teams to executive management.

Key Performance Indicators

  • Preparation of accurate monthly management reports.
  • Preparing and issuing customer invoices timeously, including follow-up on outstanding payments.
  • Full responsibility for accounts payable and accounts receivable.
  • Assisting with and managing liaison for annual audits.
  • Performing balance sheet reconciliations.
  • Treasury management, including daily, weekly, and monthly cash flow planning.
  • Maintaining accurate financial transactions from operational systems through to finance systems.
  • Managing and correcting discrepancies efficiently, including post-deadline adjustments where required.
  • Assisting with forecasting, budgeting, and preparation of financial schedules.
  • Ensuring accuracy, compliance, and attention to detail at all times.

image