1 month ago
Job title : Credit Controller – Credit Controller Finance
Job Location : Gauteng,
Deadline : September 15, 2024
Quick Recommended Links
Responsibilities
Operational Processes
- Work with existing policies, processes and procedures in such a way that operational efficiencies and performance are enhanced, and optimal results achieved.
- Report and escalate problems through to authority for advice or assistance with required urgency.
- Prioritise work to ensure deadlines are met.
- Ensure workflow continues without interruption.
- Follow clear and straightforward procedures and instructions to find practical solutions to problems.
Debtors Management
- Perform all relevant tasks within Collections that support the collections’ objective (incl, but not limited to Inbound, Outbound, Legal, Admin, corporate/wholesale).
- Handle disputed accounts and negotiate with customers to bring payment in line with terms.
- Timely execution of high usage reports.
- Timely engagement of customers on default payments.
- Daily handling of diaries, PTP’s, PAR’s, etc.
- Full accountability that all accounts allocated is actioned monthly and is collected on.
- All engagement with customer to be documented with clear and accurate notes on system.
- All arrangements made for payment must be done within delegation and policy.
- Ensuring that the customer call cycle is strictly adhered to and achieved.
- Ensure inbound and outbound answer rate and service levels, AHT and compliance are achieved.
- Ensure that resources of time, skills, equipment and materials are neither wasted nor misused.
- Prioritise work to ensure deadlines are met.
- Ensure tools and equipment are utilised in the correct way.
- Escalate problems and queries of a more serious nature.
- Attend to settlement negotiations from customers and attorneys.
- Hand over relevant bad debt accounts to third parties for collections.
- Prepare and process monthly write-offs.
- Manage active accounts in legal department.
- Prepare and submit claims on deceased estates.
- Attend to liquidations, sequestrations and administrations.
- Prepare invoices for third parties.
- Positively impact cash flow by ensuring the accurate and timely processing of payments of accounts receivable.
- Accurate allocation of payment to invoices as per remittance received within the billing cycle to ensure accurate customer billing and accounting records.
- To handle disputed accounts and negotiate with clients to bring payment in line with terms.
- Produce regular and accurate reconciliations for customers and ensure that payments are affected, and these are stored centrally for ease of access.
- Timely execution of high-risk usage reports to reduce the exposure to MTN and customer.
- Full accountability that all accounts allocated in your book is actioned monthly and is collected on.
- All engagements and activities with customer must be documented on the core system with clear and accurate notes of update.
- All communications to customers with attachments must be stored centrally for access to business and ensuring that customer records are kept up to date.
- All arrangements made for payment, PTP’s, etc. must be done within delegation and policy
- Debtor’s days must be managed within the agreed targets.
- Provision of doubtful debt, disputes, etc. must conform to policy and MTN standards.
Customer Service
- Ensure that customer queries are resolved within agreed SLA’s, TAT’s and set guidelines.
- Attend to walk-in customers to speedily resolve outstanding queries so that payment is made.
- Provide accurate advice and education to customers to ensure adherence to all standards and operating practices.
- Escalate unresolved queries timeously.
- Deliver first time right service excellence and display the MTN brand values to customers during all customer interactions.
- Responsible for escalation and feedback to customers on all issues and matters raised.
- Maintain customer confidentiality at all times.
- Liaise with customers to ensure client expectations and service levels are being adhered to in regard to billing and maintenance of accounts
- Reconcile Billing Accounts as per customer requests.
- Timely notification to customers and channel on items identified that may impact the customer and pro-active approach to resolve these items.
- To liaise with Sales and have regular contact with clients by agreed mediums. Notify on status of accounts.
Reporting
- Compile and prepare accurate and quality reports from data provided, using set templates.
- Generate reports from the system related to age analysis, cash collections, forecasts, provisions for bad debts.
Quality Control and Standards
- Reduction and elimination of fraud by ensuring verifications processes and procedures are adhered to.
- Ensure resolution of queries end to end and deadlines are met.
- Adhere to quality and operating standards and primary controls, policies and procedures.
- Query resolution and customer requests to be done accurately and keep customer details and account records up to date.
- Ensure customer experience is achieved as per the NPS deliverables and within agreed targets.
- Customer engagement in all forms must prescribe to business standards and professionalism to minimise bad debt and where possible rehabalitate customers.
- All customer requests must be actioned within the agreed SLA and TAT with absolute accuracy at all times.
- Promises made to customers and colleagues must be delivered on and completeness of all transactions must be adhered to at all times.
- Make recommendations to improve efficiencies in workflow, processes and procedures wherever possible.
- Engage in ad-hoc projects as and when expertise is required.
- Alert recurring system problems to reduce credit note values.
- Recommend ways to automate processes and procedures wherever possible.
- Knowledge sharing to improve team competency.
Qualifications
Education:
- Minimum Matric
- Diploma in Finance or collections or
- A national Diploma or higher will be advantageous
Experience:
- At least 2 years’ experience in debt collection environment OR sales/ contact centre environment
- Minimum 1 year’s administrative experience
- Computer Literacy – Experience at intermediate level – MS Office
How to Apply for this Offer
Interested and Qualified candidates should Click here to Apply Now
- Accounting / Financial Services jobs