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Pal Mar Holdings Ltd

Accounts Reconciliation Clerk

Pal Mar Holdings Ltd

  • Arima/Sangre Grande
  • Not disclosed
  • Contract
  • Updated 13/08/2025
  • Human Resources
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The Accounts Reconciliation Clerk is responsible for reconciling the General Ledger account in a timely manner. The role is also responsible for prudent management of documentation and record keeping.

Reports to:

ASSISTANT ACCOUNTANT

Supervision Given to:

DESIGNATED SUBORDINATES

Key Responsibilities:

  • Prepare monthly bank and General ledger reconciliation reports.
  • Prepare and update journal transactions.
  • Prepare journals to correct discrepancies. 
  • Prepare and post transactions to the General Ledger.
  • Update and process fixed monthly cost journal (Standard Monthly Journals).
  • Ensures that capital expenditure is appropriately authorised, all relevant costs are correctly collected and classified.
  • Maintains and updates Fixed Asset Register.
  • Maintains and reconciles the General Ledger against the Fixed Asset Register.
  • Maintain appropriate files, reports, documentation and data.
  • Maintain historical records in proper filing systems.
  • Perform any other related duties as required by the job function.

 Knowledge, Skills and Abilities:

  • Working knowledge of accounting fundamentals, principles, practices and procedures.
  • Working knowledge of an accounting and payroll software
  • Good written and verbal communication skills.
  • Proficient in the Microsoft Office Suite.
  • Ability to present and analyse financial data. 
  • Ability to function in a fast-paced environment.

 Minimum Training and Experience:

  • 5 GCE ‘O’ Level or CXC / CSEC passes including Mathematics and English Language.
  • CAT Certification / ACCA level I.
  • At least 2 years working experience in a Finance / Accounting environment.

Ref: AAR 01
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Pal Mar Holdings Ltd

Pal Mar Holdings Ltd

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