Tsebo Catering requires an experienced Financial Administrator
to provide a sound finance structure to the Division, including and not limited to financial planning, continuously revising, and narrowing controls to minimize risk. Prepare and analyse the balance sheet, cash flow and income statement within the Divisional and Group timelines. Manage working capital management to the Division and Group to protect existing assets and income, through effective corporate governance and financial policy and procedure
As a leading African Integrated Workplace Management Solutions Provider, Tsebo Solutions Group offers clients
reduced costs, risk and complexities
together with
increased quality, efficiency and productivity
. We specialise in
Catering, Facilities Management, Cleaning and Hygiene, Pest Control, Protection, Energy, Procurement, Workspace Design, Engineering, Remote Camps, and more
.
Developing our people
- the heart of Tsebo - is the foundation of our purpose. The result is a knowledgeable workforce that is in touch with every nuance of our clients' needs. DOWNLOAD OUR ONE-PAGER to find out more about who we are in a nutshell.
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Duties & Responsibilities
Perform the sign off function
Provide DM with the Pro forma Invoice to ensure that it balance with the Client account before posting
Provide DM with the Customer Account statement to ensure that it balance with the Client account before posting - Tsebo Source
Capture month end JNL's (CICO, sign off adjustment, )
Provide operators with D365 Income Statements and general ledger transaction detail
Ensure D365 profit matches unit P&L / Tsebo Source trading analysis
Ensure D365 cash balance matches unit Report variances to Financial Controller.
Ensure D365 cash balance matches Tsebo retail cash Report variances to Financial Controller.
Ensure unit PRS / Tsebo Source cash balance matches unit cash Report variances to Financial Controller.
Ensure D365 cash loader Ledger balance matches Plankomat Report variances to Financial Controller.
Ensure D365 stock balance matches unit PRS / Tsebo source Report variances to Financial Controller.
Clear the WIP account before sending the Tax invoices
Reconcile balance sheet accounts and clear reconciling items:
Cash loader as per Account balance report / Intellipos report
Cash at Attach PRS as support
Stock at Attach PRS as support
Bank Reconciliation - Healthwise
Attend to ad-hoc finance queries from Operations and Finance Management
Any reasonable request from management
Clear Trade creditors account before GL closes
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Skills and Competencies
Good communication skills
Good understanding of full function (Balance Sheet, Income Statement)
Ability to work under pressure
Advanced Excel skills
Interpersonal skills
Time Management skills
Organizational skills
Accuracy
Problem solving skills
Ability to work with minimal
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Qualifications
Relevant financial tertiary qualification B. Com / B. Com Accounting or Equivalent
Minimum of 3 years accounting experience
Background on ERP Systems : D365, QlikView an added advantage
* Accounting practices
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