Accounts Payable Controller
CBRE Excellerate
Johannesburg, Gauteng
Permanent
Posted 31 October 2025
- Closing Date 06 November 2025
Job Details
Job Description
Main purpose / objective of the position:
To serve as a financial support function to meet the Utility Business units’ goals and objectives. To
ensure that all payments are paid on time in an accurate and efficient manner and in accordance
with generally accepted accounting practices so that the Business unit’s expenditures recordings
are accurate and timely.
What you will bring:
Experience / Education:
Competencies Required:
Internal: Colleagues
External: Municipalities
What you will be doing:
Role Objectives/Responsibility:
.
To serve as a financial support function to meet the Utility Business units’ goals and objectives. To
ensure that all payments are paid on time in an accurate and efficient manner and in accordance
with generally accepted accounting practices so that the Business unit’s expenditures recordings
are accurate and timely.
What you will bring:
Experience / Education:
- Senior Certificate with Accounting as a subject
- Bookkeeping and/or National Diploma in Accounting
- ± 2 years’ experience is essential
- Aptitude for figures and financial skills
- Adequate knowledge of specific discipline
- Legislation and regulations with regards to municipal/government supply and services requirements.
- Industry knowledge specific to area of accountability
- Computer Literacy
- Negotiation skills
- Organising skills
Competencies Required:
- Adhering to Principles and Values and high level of integrity
- Delivering Results and Meeting Customer Expectations
- Working with People
- Following Instructions and Procedures
- Learning and Researching
- Deadline Driven
- Ability to work at a fast pace without compromising accuracy
- Able to work independently
Internal: Colleagues
External: Municipalities
What you will be doing:
Role Objectives/Responsibility:
- Preparation of payment proposal (Draw Down)
- Decision on which accounts to pay/withhold.
- Preparation of payment files (SAP proposal to DME upload).
- Accurate filing of proposal and proof of payment.
- Clear amounts due or refundable on terminated accounts prior to status change.
- Liaising with Councils/Municipality/Eskom on specific invoice queries.
- Request inter-account transfers from Councils/Municipalities/Eskom – follow all steps until Balance Sheet Reconciliation.
- Analysis of drawdown report by ensuring all action plans to address queries have been implemented
- Management of Draw down and Bank accounts.
- To carry out any other Adhoc duties as may be required from time to time by management.
.