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Engineering : Financial Manager From 2010-12 To Current Duties Evaluate business efficiencies
Review and analyse monthly revenue and cost of sales forecasting Weekly reporting of GP (Actual vs forecasting) Payroll review Overtime Additions / terminations Internal audits on processes around specific expense items Statutory returns< VAT, SARS Review and authorize supplier reconciliations • Review terms and conditions for renewal of supplier contracts Ad hoc management reports
Sales - Marketing : Financial Manager From 2008-8 To 2010-11 Duties Effective control measures – Ensure that set targets, deadlines and standards of subordinates are met Compliance – Through effective control measures, ensure that the department’s functioning and its output are compliant with accounting standards and all applicable statutory requirements Financial statements & Reports – Overall responsibility for the preparation of financial statements and required reports. Including monthly management accounts and quarterly forecast reviews Cashflow forecasting & monitoring, financial analyses – Following on thorough and timeous analysis, forecasts cash flows, keep track of expenditure, analyse trends, take corrective action, report deviations pro-actively. Accounting policies and procedures – Research, design, negotiate, communicate, implement and review accounting policies and procedures Budgets & forecasts – Assume responsibility for compiling the annual company budget, quarterly company forecasts and retainer budgets for mall portfolios. Negotiate agreements, standards, terms, etc – Following thorough analysis and research, negotiate standards and terms with internal and external parties. Financial advice – Provide financial advice to management team for optimal operational and finance functioning Liaison and customer interaction Liaise with major suppliers and clients to ensure effective communication and co-operation and flow of information Attend to queries and requests escalated to this level Ensure that staff and self create realistic expectations and meet them o Ensure co-operation, synergy and effective communication between own and other departments in the company Effective supervisory duties Put in place clear work plans, quality and delivery standards, target, deadlines, etc Keep staff informed (progress, problems, customer feedback, future planning, etc) Identify performance problems and take immediate corrective action Coach for development and corrective action purposes Staff Reporting Debtors Supervisor Creditors supervisor 4 x finance administrators
SITRONIX (PTY) LTD. January 2010 – November 2010: Financial Manager Responsible for the financial function / department of the company. Financial statements & Reports – Overall responsibility for the preparation of financial statements and required reports Maximising of profits. Cashflow forecasting & monitoring, financial analyses – Following on thorough and timeous analysis, forecasts cash flows, keep track of expenditure. Budgets & forecasts – Assume responsibility for compiling the annual company budget, monthly company. Management of operational expenditure and the effective control thereof. Financial advice Provide financial advice to management team for optimal operational and finance functioning Project Management Ensure that projects are managed efficiently in order to accurately record the financial position of the projects. Implementation of new Financial / Project Management system – Manage the process of converting from Pastel Evolution to Microsoft Dynamics AX Manage the Purchasing and Logistics Department Company IT responsibilities. Manage the annual audit process. Evaluation and Implementation of all processes and procedures. Manage the company’s HR and payroll departments. Supervise the Accounts Payable Process Supervise the Accounts Receivable Process. Setting up of Sales targets and budgets for staff and the monitoring thereof Member of EXCO. Involvement with all operational issues. Staff Reporting Bookkeeper / Payroll administrator Accounts Payable Administrator Debtors / Invoicing Administrator Procurement / Logistics Manager
Internet - ECommerce : Group Accountant From 2007-11 To 2008-8 Duties System: Great Plains Local Accounts In charge of Infra Structure Division Turnover +-- R160 Million Report fo FM Monthly Expense Analysis Gross Profit Reconciliations Accruals Revenue Calculations Income Statements Monthly and Standard Journals Prepare Consolidated Pack Internal Audits Retail : Financial Administrator From 2006-1 To 2006-2 Duties System: SAP Report to Group FM Manage the Cashbook Department Staff Compliment of 7 Staff Members Manage the Daily Reconciliations of all Transactions made at branch level and Ensuring the accurate input into the General Ledger Ensure that all monthly General Ledger Reconciliations are Completed and Accurate Raising and Analyzing Monthly Accruals for all Branches Incom Statement Analysis and Variance Reporting of Branches Implement Internal Controls to Ensure Accurate and Timeous Reporting Stock Control Reconciliations Finalization of Income Statement and Balance Sheet for Management Accounting Ensuring Accurate Integration of data from the POS System into SAP Manufacturing : Accountant From 2006-3 To 2007-10 Duties System: Pastel Partner and Implemented Pastel Evolution Report to FD Manage The Finance Department Staff compliment of 7 Staff Members Local Accounts Company Turnover +-- R40 Million per Annum Debtors +-- R10 Million Creditors +-- R10 Million Fixed Assets Management-Full Accounting Function of 5 Companies Preparation of Final Income Statement and Balance Sheet Preparation of Monthly Management Accounts and Variance Analysis Monthly Stock Management and Stock Control Reconciliation Management of Year end Audit Monitoring of Daily and Weekly Cashflow and Authorization of Creditor Payment Approval of all Purchasing for the Company Manage the Creditors Department Manage the Debtors Department Ensuring the Accurate Input of all Data into The General Ledger Monthly General Ledger Reconciliations Input and Reconciliation fo all Forex Related Entries Input and Reconciliation of all Intercompany Transactions
Manufacturing : Financial Accountant From 2004-12 To 2005-12 Duties Report to CFO Local Accounts Supervise 4 Staff Members Manage Reports Full Financial Function Debtors Bookvalue - R10 Million Creditors Bookvalue - R10 Million Setting Credit Limits Signing Power Preparation of timeous, accurate and appropriate financial information for 4 x companies Ensure the Completeness, accuracy and quality of the Debtors Function Creditors authorization and payments Cashflow Management and Planning Budget Assistance And Planning Budget Assistance and Planning Prepare Management Accounts Consolidations Exco Meetings Fixed Assets +-- R2 Million Pastel and Excel Data
Consulting : Financial Manager From 2000-5 To 2004-11 Duties Report To CFO Supervising of x 11 Staff Local Accounts Debtors Bookvalue R40 Million Creditors Bookvalue R3 Million Payroll Reconciliations Financial Reports Reported Locally Prepare for Auditors Consolidations Fixed Assets Systems Worked on: Amercian Based (Deltec), Pastel, Accpacc Dos, Proman etc General Management Functions Consistency of all Financial Figures in the Financial Systems Coach and Supervise Financial Staff ( Staff Compliment ) Consistent Monitoring of staff key performance areas to ensure effective project control Maintain effective systems of communication with the CFO and Management Provide support to office Financial controllers Support Project Manager with Project Ignition Management and Supporting of project performance with the project manager (Budget, Profit-Cost Forecast) Support Project Manager With Debt Collection and Creditors control Management of General Office Administration Management of Business performance to the Regiona; Managing Director Budgeting Consolidation of Annual Budget for the Group (14 Offices) Control and Maintain Annual Corporate Budgets (Totalling 6 Divisions) Budget to Financials Variance Reporting for each office as well as for the group as a whole Preparation of Annual Budgets for Offices Business Plan and Resorts Support Corporate Business Plan Preparations Prepare monthly summary results Preapration of monthly management accounts Variance reporting of Management Accounts Preparation of Monthly Financial reports to the policy board (Board Packs) Consolidate Monthly Income forecasts of Offices and report on variances Management Services Report to Chief Financial Officer (CFO) Provide Support and Assistance to CFO Interface Managment between all financial systems such as the general ledger, Project Administration System and Salary System in order to maintain consistency of all financial figures in the financial system Internal Controls and Audits Monthly Cash Flow Variance Analysis Member of Financial Controllers Team Airline - Aviation : Financial Manager From 1998-9 To 2000-4 Duties - Full control of finance department (staff compliment of 4 reporting to me) - Preparation of monthly financial statements - Monthly management reporting to holding company - Budget to financials variance reporting - Preparation of the annual budgets - IT monitoring - Internal auditing - Monthly salary administration - Client liaison
Manufacturing : Management Accountnat From 1997-11 To 1998-8 Duties Consolidation of branch results for the monthly board pack Administration of payroll Internal audit checks at various operations Preparation of the annual budget model Consolidation of the various branch budgets onto a consolidated budget Budget to financials variance reporting Preparation of the annual year-end financial and tax models Consolidation of the various branch financial year end pack, tax pack and budget pack Administration of the head office which include: Monthly debit notes to branches Cashbook and bank reconciliations Petty cash General ledger and ledger reconciliations Annual head office budget Year end financial pack for head office Fulfill the role of acting financial manager at the branches as required Certain statutory duties Ad hoc duties as requested by financial director
Securities : Assistant Accountant From 1993-5 To 1997-10 Duties - Calculate And Account For Daily Cashflow - Prepare Daily Bank Reconciliations - Reconcile Head Office Accounts To Town Office Accounts - Prepare And Process Monthly Expenses - Assist Financial Controller With Month End Reporting - Assist Financial Controller With Projects On An Ad Hoc Basis - Assist In The Processing Of All Shares Traded By Dealing Desk - General Administration Duties - Reconciling Debtors And Creditors Accounts
Company Name Compass Insurance Company Type of Industry Insurance Position / Job Title Management Accountnat Employment Period March 1996 - Oct 1996 Duties (Key Performance Areas) Generate Monthly Management Accounts Together With Variance Reporting Process And Reconcile Monthly Creditors Generate The Monthly And Quarterly Reinsurance Returns In Conformity With The Requirements Of The Reinsurers Perform Internal Audits On A Periodic Basis Of The Organization And Strategic Partners And Brokers Assist General Manager Of Finance And Financial Manager With Regards To Specific Projects On An Ad Hoc Basis Administration Assist With Investment Administration, Investigations And Accounting. Reason for leaving Unstable
Company Name Std Bank of SA Type of Industry Banking - Financial Services Position / Job Title Customer Care Consultant Employment Period May 1993 - February 1996 Duties (Key Performance Areas) - May 1993 to November 1994 - Customer Services Representative - December 1994 to January 1995 - Student Loans Clerk - February 1995 to February 1996 - Customer Services Representative and Central Teller (with effect from December 1994 worked as a permanent casual on a daily basis) Reason for leaving Part time - Moved out of Banking Sector
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