Absa
Job Summary
Maximize ABM’s performance focusing on business performance especially major cost and income drivers.
Job Description
- Ensuring upmost integrity of all financial data in the general ledger.
- Guaranteeing accuracy of postings for all internal financial transactions into correctly designated accounts, and consistently perform monthly reviews for all internal accounts to identify wrongly posted transactions and close other gaps if any.
- Take charge in ensuring utmost discipline is achieved and a consistent compliance to both Cost Centre Management Policy and Account Ownership and Reconciliation Policy.
- Support obtaining the financial data from the Flexcube system.
- Constant development of processes and innovative information and tools to assist effective execution of financial reporting deliverables. This includes automations of the reports.
- Strengthen the financial accounting function so as to ensure the Bank meet international accounting standards as well as local and group regulatory reporting requirement.
- Support in setting standards of quality of data submitted from business units and control compliance/adherence
- Take lead role in ensuring reconciliation and all control deficiencies are been appropriately addressed, and control closed within the agreed timelines.
- Receive approved invoices from the supervisor payment and post the transaction in the system with the appropriate general ledger and appropriate customer account.
Education
Further Education and Training Certificate (FETC): Financial Sciences (Required)
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