Description DUTIES AND RESPONSIBILITIES Supplier Management
Conduct due diligence for new vendors by obtaining necessary supporting documents and validating information and banking details loaded by the bookkeeper
Liaise with the Bank & Cash team to ensure vendors are added as bank beneficiaries
Monitor vendor account activity ensuring accounts with no activity in 36 months are closed monthly
Maintain relevant vendor addresses, banking details and contact details to ensure a valid vendor database
Build and maintain strong relationships with vendors
Accounts Payable
Oversee timely and accurate invoice capturing by secretaries to ensure all liabilities are accounted for.
Review account allocations, VAT, transactional details, check and approve Professional Creditors reconciliations to statements
Ensure correct VAT treatment on transactions
Approve payment requests and verify banking details
Print and save BOP reports for foreign payments
Assist with SARB approval applications and renewals
Address queries from partners, staff, and creditors regarding professional creditors with disbursement, WIP, invoices and matter allocations
Ensure sufficient funds in Official Fee and other deposit accounts at all times
Capture journal entries to correct GL misallocations
Ensure daily billing of all 3P WIP
Manage the Accounts Payable group mailbox
Process 3P payments according to payment list reports, i.e. taking into account payment arrangements
Manage age analysis and resolve outstanding invoices or credit notes in line with supplier terms, report weekly on unresolved
Review and resolve aged invoices, unused credit notes, and unapplied payments
Monitor and report on on-hold invoices
Address and update mail returns for vendor remittance advices on CMS
Cash Flow Management
Manage payment cycles to optimize cash flow
Identify set-off opportunities with reciprocal client relationships where debt collection is challenged
Prepare accurate cash outflow forecasts
Monitor creditor payments against due dates to maximize creditors days
Accounting and Reporting
Clear inter-branch accounts
Reconcile Professional Creditors Ageing to GL control accounts
Prepare monthly balance sheet reconciliations
Meet financial reporting deadlines
Track daily 3P receipt reports and ensure timely payments to appropriate vendors
Continuously monitor and report on unrecorded liabilities from vendors with special arrangements
Staff Management
Lead and manage an Accounts Payable team of 6
Set objectives and provide coaching and mentoring.
Ensure staff deliver stakeholder support aligned with firm values and expectations
Conduct weekly team meetings including ageing reviews
Manage staff leave and compliance with firm policies
Process and Procedure
Document and maintain operational processes
Identify, resolve and improve system and process inefficiencies.
Innovation
Remain up to date on new technologies to improve process efficiency.
Requirements EXPERIENCE, SKILLS AND COMPETENCIES
Strong initiative and problem-solving skills.
Excellent communication and interpersonal skills.
Experience in multi-currency accounting and reporting.
Background in legal or professional services (essential).