Job Summary
Accountant
Overall KRAs
Deliver Accurate Results - Produce error-free financials through strong controls and reconciliations.
Shine a Light on Financial Performance - Enhance visibility of financial health through timely and insightful reporting.
Maintain Robust Control Environment - Ensures financial integrity, mitigates risk, strengthens compliance, and safeguards business assets—enabling sustainable business performance
Comply with Regulatory Requirements - Ensure adherence to financial and organizational regulations, policies, and audits.
Support Decision-Making - Provide reliable data to guide strategic choices and risk mitigation.
- 1. Position Overview
Qualifications Relevant BCom Degree with Accounting
Experience 5 years’ experience in an accounting role.
2 - 3 years’ experience managing a team would be advantageous.
Experience in cash and debtors’ management
Experience in dealing with customer queries
After Hours Support / Standby Yes
Knowledge Accounting Knowledge
Accounting systems
Microsoft suite with advanced MS Excel skills
Reconciling of numerical data
Purpose
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To ensure accuracy and completeness of customer (member) accounts by overseeing cash and bank allocations and periodic reconciliations, implementing and monitoring financial controls and managing the customer allocations team. |
- 2. Job Requirements - Functional Duties and Responsibilities
Key Responsibility Areas Responsibilities Key Performance Indicators
- Financial Management and Reconciliation Oversee the work of the Consultants|: Member Accounts and Member Accounts Clerk - daily allocation and reconciliation of funds.
- Perform reconciliations of merchant settlement accounts to bank statements and GL daily.
- Perform reconciliations of all member receipts monthly.
- Reconciling of member rewards.
- Monthly reporting of member balances Achieve 100% accuracy in daily fund allocation and reconciliation.
- Complete daily reconciliations of merchant settlement accounts to bank statements and GL with zero discrepancies.
- Ensure X% completion of monthly reconciliations of member receipts.
- Member Accounts and Queries Address and resolve any discrepancies or issues related to member balances.
- Assist in solving queries on member accounts, including refunds.
- Upload monthly rewards on member accounts and creating banking files
- Administrate the member rewards system, ensuring rewards are accurately and timeously calculated, payouts are concluded as agreed and reporting requirements adhered to. Successfully upload monthly rewards and create banking files without errors by the 5th of each month.
- Maintain a 99% accuracy rate in calculating and distributing member rewards.
- Financial Controls and Reporting Design and implement internal controls to ensure accuracy of members balances.
- Review and improve financial controls including inputs as subject matter expert on projects.
- Ensure responsibilities are executed in line with defined standards.
- Report trends on the member accounts to provide soundful information on the performance of the members for stakeholders’ decisions. Implement/update financial controls annually to enhance accuracy and efficiency.
- Provide accurate monthly reports on member balances and trends by the X of each month.
- Participate as a subject matter expert in at least one major project per quarter.
- Relationship Management and Process Improvement Payment Gateway relationship management / FNB relationship management.
- Continuously seek opportunities to improve processes and controls to enhance the accuracy and efficiency of member account management.
- Collaborate with internal stakeholders to ensure cohesive and integrated financial operations for example BizTech for system improvements and updates. Maintain strong, collaborative relationships with payment gateway partners and FNB, ensuring 100% uptime and seamless transactions.
- Conduct quarterly reviews with partners to assess and improve service delivery.
Internal Controls & Accuracy
Accounting control
- Maintain financial records and ensure the financial transactions are completely and accurately recorded in the accounts.
- Reconcile sub ledgers to the general ledger.
- Complete all balance sheet account reconciliations.
- Process adjusting journal entries
- Maintain fixed asset registers.
- Generate monthly trial balance for management reporting.
General duties
- Perform ad-hoc analysis and additional accounting assignments as directed by the Financial Controller.
- Oversee general administration as required.
- Prepares monthly ad hoc project reports, including project expenditures, resource utilizations, and milestone progressions Achieve 100% accuracy in maintaining financial records. Complete all balance sheet account reconciliations with zero discrepancies monthly.
- Deliver all assigned ad-hoc analyses within stipulated deadlines. Ensure accuracy and completeness in monthly project reports, with a 100% on-time submission rate.
Execute payments and submissions Banking management
- Prepare monthly bank account reconciliations.
- Manage banking relationships and oversee administration and query resolution.
- Submission of all returns and applications.
Reporting
- Prepare month end reporting packs and variance analysis. Ensure 100% compliance with submission deadlines. Maintain a flawless record in banking administration with zero errors.
- 3. Behaviour and Core Competencies
Job Specific Skills
- Ability to employ problem solving skills and analysis
- Ability to work well with all levels of the organization.
- Excellent written and verbal communications skills required
- Extremely detailed-oriented, ability to provide solutions.
- Team player with highly developed interpersonal skills, who can engage with people at all levels of the company.
- Proactive and results driven to meet tight reporting deadlines.
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Please note information listed above is for advertising purposes and does not include the full list of Duties/Requirements etc. required.