Finance Administrator needed at Anova Health Institute

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Job title : Finance Administrator

Job Location : Gauteng, Vanderbijlpark

Deadline : October 19, 2024

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Key Duties and Responsibilities

Document Management

  • Receive payment request documentation from the projects.
  • Review the documentation to validate the accuracy and completeness of the supporting documentation and to ensure compliant in terms of Anova’s financial standard operating procedures and donor requirements.
  • Corrective action to be taken in the event of non-compliance.
  • Capture the purchase order and insert the reference number onto the supporting documentation.
  • Ensure that all payment documents are submitted within the required deadlines to the respective bank signatories for approval.

Data Capturing

  • Generate an AP (Accounts Payable) batch within the accounting system.
  • Capture the supplier invoice/s against the relevant supplier code and allocate the expense to the respective project code and line item, through purchase order.
  • Forward the documentation to the Bookkeeper to confirm and post the purchase order/ AP batch into the accounting system within the correct accounting period.

Process Payments

  • Forward a copy of the remittance advice to the respective supplier as proof of payment.

Compliance

  • Ensure that compliance deadlines are met within the given time frame.
  • All non-compliant issues as well as documents not on file needs to be addressed and cleared.
  • Take a proactive step in ensuring that checks are done before submitting payments to accountant, e.g. invoices are signed; originals are attached, invoice must have both Vat numbers; authorised signatories did sign off on payments.
  • Administrators needs to familiarize themselves with ALL finance policies and procedures (such as: procurement, petty cash; payment process, etc.)

Supplier Reconciliation

  • Obtain supplier statements on a monthly basis.
  • Develop a supplier reconciliation template and constantly improve.
  • Ensure that reconciliations are done on a monthly basis and forwarded to accountant for review and signed off by both accountant and financial manager
  • Corrective action to be taken in the event of non-compliance.
  • Crucial to submit within the given deadlines

Debit orders reconciliation process

  • Follow up with relevant bookkeeper, in order to obtain the invoices and prepare relevant documentation.
  • Ensure that debit order requests for payments as well as purchase orders are created and signed off by the Project Managers / CFO, for all projects.

Cash management

  • Notify the Accountant when funding is low.

Payment recovery process

  • Prepare the purchase order, forward to bookkeepers for posting and follow the payment process.
  • Assist bookkeepers with the account payable/ accounts receivable reconciliations.

Adhoc

  • Assist the bookkeeper and accountant with any adhoc queries / cost recoveries
  • Ensure accounts receivable and payables are cleaned up and corrections are done
  • Work ethic important ( working hours ; punctuality; noise levels; dress code; clean desk policy; leave policy need to be adhered to)

Minimum Qualifications, Experience and Skills Required

  • Diploma in Accounting
  • 3 years’ financial administrative experience
  • Experience of the Nedbank Electronic banking system.
  • Pastel Evolution experience.

How to Apply for this Offer

Interested and Qualified candidates should Click here to Apply Now

  • Administrative / Management  jobs