Let's Write Africa's Story Together!
Old Mutual is a firm believer in the African opportunity and our diverse talent reflects this.
Job Description
Key responsibilities will include amongst others:
Financial Reporting
Compiles and populates records to Trial Balance level (capturing and processing of cashbook entries, preparation and submitting of journal entries, including calculations to support month end accruals, calculation and processing of adhoc journals when required)Maintain updated, accurate bookkeeping operations to ensure that the ledger is always a reliable source of informationExpense monitoring and controlAddress and assist with internal and external audit queriesRoll forward of AFS and contribute to AFS detail.Preparation and submission of results to the broader group via Hyperion Financial Management systemPrepare monthly financial reports for management, including variance analysis and commentary by agreed timelinesDebtors and Creditors
Processing of supplier invoices and other payments (incl foreign payments), including the relevant administrationRaising and issuing customer invoices timeouslyDebtor and creditor control (monitoring and follow up of settlement of debtors, and timeous settlement of creditors)Resolve inter-company mismatches, liaising with broader group accountantsCash management
Processing monthly and ADHOC paymentsMaintenance of bank account detailsCashflow monitoring and controlReconciliations
Preparation of all balance sheet reconciliationsInvestigation and resolution of reconciling items identifiedIdentify risks and proactively implement reconciliations and controlsTax
VAT return calculations and submissionsTax return calculations and submissionsOther
Maintain a suitable financial control environmentAssist in adhoc projects and tasks as requiredAdhoc / annual group and stakeholder requestsTeam Effectiveness
Drive process improvements and simplification in the area of accounting. This includes automation projects and the preparation and maintenance of detailed workflowsEffective time-managementIndividually accountable for tasks and output timeliness and qualityEnhance and improve group collaboration effortsEffective communication skillsQualification, Skills and Experience:
BCom accounting or similarExcellent proficiency in Excel skillsAt least 2-4 years accounting experience and relevant financial services experiencePrepares reports on the organisation’s cash flow by checking the accuracy of the records, the bank account entries and transactions, and the movement of values. Maintains appropriate records for the short- and medium-term analysis and its forecast.ResponsibilitiesTreasuryDeliver operational plans in line with the overall treasury strategy.
Data Collection and AnalysisConduct research using primary data sources, and select information needed for the analysis of key themes and trends.
Data ManagementHelp others get the most out of data management systems by providing support and advice.
Insights and ReportingContribute to the preparation of various data and analytics reports.
Operational ComplianceIdentify, within the team, instances of noncompliance with the organization's policies and procedures and/or relevant regulatory codes and codes of conduct, reporting these instances and escalating issues as appropriate.
Financial Policies, Guidelines, and ProtocolsContribute to the development and delivery of financial policies, guidelines, and protocols to ensure the company complies with regulations and good financial practice.
Document PreparationOrganize and prepare complex documents using a variety of applications for technology devices, such as standard office software. Also responsible for gathering and summarizing data for special reports.
Information and Business AdviceResolve queries from internal or external customers or suppliers by providing information on complex processes and the related policies, referring issues to others where necessary for interpretation of policy.
Financial Management and ControlTrack progress against budgets within established finance systems, and report variances to more senior colleagues.
Personal Capability BuildingDevelop own capabilities by participating in assessment and development planning activities as well as formal and informal training and coaching; gain or maintain external professional accreditation, where relevant, to improve performance and fulfill personal potential. Maintain an understanding of relevant technology, external regulation, and industry best practices through ongoing education, attending conferences, and reading specialist media.
Skills
Accounting, Action Planning, Budget Management, Calculating Tax, Cash Management, Computer Literacy, Credit Management, Database Reporting, Data Classification, Data Compilation, Data Controls, Data Modeling, Debtors Management, Evaluating Information, Financial Reporting and Analysis, Legal Practices, Management Reporting, Microsoft Excel, Numerical Aptitude, Oral Communications, Reconciliations, Report Review, VAT ReturnsCompetencies
Builds NetworksBusiness InsightCollaboratesCourageDrives ResultsEnsures AccountabilityFinancial AcumenManages ComplexityEducation
NQF Level 7 - Degree, Advance Diploma or Postgraduate Certificate or equivalentClosing Date
08 January 2025 , 23:59The appointment will be made from the designated group in line with the Employment Equity Plan of Old Mutual South Africa and the specific business unit in question.
Old Mutual Limited is pro-vaccination and encourages its workforce to be fully vaccinated against Covid-19.
All prospective employees are required to disclose their vaccination status as part of the recruitment process.
Please refer to the Old Mutual’s Covid-19 vaccination policy for further detail. Kindly note that Old Mutual reserves the right to reinstate the requirement to vaccinate at any point if it is of the view that it is imperative to do so.
The Old Mutual Story!