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Reconciliation Clerk

Job in Durban, 4056, South Africa
Listing for: Hollywoodbets
Full Time position
Listed on 2026-07-31
Job specializations:
  • Accounting
    Accounting & Finance, Financial Reporting, Accounts Receivable/ Collections, Bookkeeper/ Accounting Clerk
  • Finance & Banking
    Accounting & Finance, Financial Reporting, Accounts Receivable/ Collections, Bookkeeper/ Accounting Clerk
Job Description & How to Apply Below

Responsibilities

Being a part of the Hollywoodbets Purple Team is an opportunity to become a part of one of South Africa’s biggest success stories. From humble beginnings in Durban, Hollywoodbets has grown into a powerhouse brand operating across Africa and the United Kingdom. And that’s just the beginning. Our talented Team is on a mission to increase our global footprint, ready to take on any challenge because at Hollywoodbets, not even the sky is the limit.

Join our Team and let’s reach for the stars.

We have an amazing opportunity for a Reconciliation Clerk to be based in Umhlanga
. Do you think you have what it takes to be our newest Purple Star? The successful candidate will be responsible for ensuring validity of revenue, expense, deposits and withdrawals (ibranch and retail) and any other transactions and eliminate misappropriation of company assets and/or fraudulent financial reporting.

With Hollywoodbets You Will
  • Innovate and create as part of a like-minded, authentic Team eager to achieve goals.
  • Embrace challenges and the thrill of working in a vibrant and fast-paced industry.
  • Grow with our development plans and culture that allows you to further your career.
You Bring
  • 1-2 years administrative experience
What You’ll Do For The Brand
  • Customer Service
  • Auditing Declarations from branches on the “End of Days”.
  • TUV reconciliations.
  • ATM reconciliations.
  • Credit Card reconciliations.
  • Ithuba reconciliations.
  • Deposit reconciliations.
  • Withdrawal reconciliations.
  • Manual transactions reconciliations.
  • Auditing receivables (credit card or other).
  • Any other declarations/transaction retail or ibranch.
  • Perform cash counts.
  • Perform audits around paperwork and daily recons.
  • Ensuring shortages, a transposed onto the recovery Masterfile’s.
  • Ensuring shortages are escalated and followed up with weekly.
  • Collect and analyze data.
  • Establish recommendations for the information collected .
  • Perform research and development as required.
  • Perform audits around paperwork and daily recons.
  • Determine compliance with policy and procedures.
  • Stock counts and fixed asset counts.
  • Checking and reconciling of tickets at branch level.
  • Reporting daily observations to relevant people.
  • Assisting the branches and/or relevant department to clear queries.
  • Reporting to management.
  • Reconciliation of pastel accounts.
  • Ad hoc tasks and requests.
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