The Finance Administration Clerk will be responsible to provide financial administrative support to the department and to ensure the seamless implementation and consistent delivery of transactional services provided by the department to its stakeholders including the compiling, capturing, auditing and reconciling of hospitality data in food and beverage and hotel room operations with the Micros and Opera system on a daily basis for reporting and verification purposes, in line with policies and procedures and service level agreements
Key Performance Areas
Finance Administration
Monitor workflow from the Kofax Total Agility("KTA") and deal with all queries raised via KTA - covering all areas of finance including accounts payable, accounts receivable, cash books, fixed assets, intercompany.
Liaise with relevant departments to resolve queries within SLA, ensuring all tasks are being addressed.
Collate and check concessionaire PLD dockets/House account Vouchers with service level agreement and send to SSC for processing
Collate and check CAF forms to third party hotel billings and send to SSC for processing
Collate supplier invoices and send to SSC
Check TA invoices and send to SSC for processing.
Complete Purchase Requisitions /Purchase Orders /Receipting for departments that require support, including service contracts
Capture purchase requisitions for all departments and ensure that the charging splits to the units are allocated and captured accurately and correctly.
Capture expense claims for the unit, including attaching all slips
Check suppliers aged analysis monthly
Assist the Accountant with monthly accruals
Review "received not yet paid" report monthly and follow-up long outstanding items.
Revenue Administration
Receive and Follow-up revenue declarations from Concessionaires in line with the Group Retail policy monthly
Receive and follow up annual turnover declarations from concessionaires, reconcile annual calculations and send to SSC any top-up billings required as per Group Retail Policy
Prepare calculations in respect of rental charges to align to Tenant contracts and send to SSC
Receive invoices from suppliers related to concessionaires, service providers, venue rentals, and banqueting service providers that as per contract needs to be "billed back" to clients.
Opera Entertainment billing is received from Entertainment co-ordinator, obtain all back-up required from AP in respect of "Bill Backs", create a final all-inclusive manual Pro- Forma Invoice this will be sent to SSC to finalise the billing on IFS.
Receive and follow up on utility and maintenance costs to be billed to tenants and send to SSC
Prepare monthly and quarterly turnover and rental reports for concessionaires and send to Operations manager.
Prepare calculations and post payment proposals as per contractual agreement in IFS
Review and reconcile any deposit refund request from Banqueting/Eventing advance deposits after billing has been finalised and send to SSC to process on IFS
Education
Grade 12
Diploma in Finance
A minimum of 2 years finance experience
Skills and Knowledge
Operational Product knowledge (F&B, Housekeeping, Operating supplies & equipment)
Cost control processes
English Written and verbal communication skills
Numerical skills
Vendor Relationships
Proficient computer skills (MS Office; Opera, Micros, IFS)
Equity
Preference will be given to employees from the designated groups in line with the provisions of the Employment Equity Act, No. 55 of 1998, SISA internal recruitment policy as well as units employment equity plans.
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