Permanent Finance Manager – Truworths Careers
Job Description
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Truworths Careers – Finance Manager
Finance Coordinator – Truworths Careers
Job Description
Truworths Careers is seeking a detail-oriented and proactive Finance Coordinator to join the finance team. This role requires a collaborative individual who can work under pressure, meet tight deadlines, and provide effective problem-solving support while maintaining clear communication across teams.
Key Responsibilities
Systems Reconciliation
- Perform daily reconciliation of transaction data between POS systems and the debtors system
- Investigate and resolve any discrepancies identified during reconciliations
Collections Processing
- Capture and process payments received from attorneys, external collectors, and administrators on behalf of customers
Account Balance Insurance
- Gather insurance-related data and coordinate with internal and external stakeholders
- Process insurance invoices and ensure accuracy through follow-ups with providers
- Prepare insurance reconciliations and provide required customer and collection data to insurers
EFT and Direct Deposit Management
- Liaise with banks to resolve rejected EFT and direct deposit transactions
- Support payment capturing processes during month-end and staff absences
- Post corrections to customer accounts and assist with related queries
Bank Account Reconciliation
- Assist with manual reconciliation of electronic and direct deposit accounts across multiple regions
- Monitor suspense accounts and follow up on outstanding items
- Ensure debit orders are processed correctly and recorded in the debtors system
Administrative Duties
- Capture departmental expense invoices accurately
- Coordinate with the marketing department and contribute to weekly reporting
- Manage gift card administration and account credit processes
Business Control Accounts
- Monitor control accounts and investigate irregularities or discrepancies
Monthly Reconciliations and Reporting
- Conduct detailed reconciliation reviews, including variance and ratio analysis
- Perform year-on-year comparisons to identify trends
Month-End Processes
- Prepare expense variance reports and support budgeting processes
- Assist with trade debtor and bad debt forecasting
- Calculate cost of credit and prepare sales performance reports
- Process month-end journals and support forecasting activities
Year-End and Audit Support
- Assist in the annual audit process by providing required documentation and explanations
- Support auditors with account analysis and reconciliations
Financial Statements
- Contribute to the preparation of annual financial statements
Qualifications and Experience
- National Diploma in Accounting or BCom degree
- 2–3 years of relevant finance or accounting experience
- Experience with general ledger functions and month-end/year-end closing processes
- Advanced proficiency in MS Excel
- Experience with Oracle Business Intelligence and Nexus Vision is advantageous
- Retail industry experience is beneficial
Competencies
- Strong analytical and numerical skills
- High level of accuracy and attention to detail
- Excellent communication and interpersonal abilities
- Solid organisational and time management skills
- Good technical and commercial understanding
- Ability to manage multiple tasks and meet strict deadlines
- Self-motivated with a proactive approach to work
- Capable of working effectively under pressure in a fast-paced environment
- Flexible and adaptable, with willingness to take on additional responsibilities when required
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