GENERAL
Responsible for the financial management of the portfolios under management including:
Must have regular meetings with all portfolio accountants and the creditors/cashbook supervisor to ensure that adequate guidance is provided where necessary. Must develop a very good understanding of PIMS, Management reporting (Ex Frx), and Great Plains in order to be able to provide the necessary assistance to staff when required. Undertake and review of the calculations on a monthly basis ensuring that Eris portfolio information for the portfolios agrees to the investment balances. Undertake and review the authorisation of the Group's monthly movement files that need to be uploaded on JDE for the "on balance sheet" portfolio. Undertake the monthly recons between JDE and the Great Plains ledgers. Overseeing the maintenance and the reconciliation of the respective general ledgers. Performing all month-end and year-end procedures, ensuring that all client requirements and deadlines are met. Review of the monthly management packs where necessary. Review and authorisation of balance sheet recons ensuring that recon items are cleared monthly. Review and authorisation of VAT submissions. Review of adjustment accounts prepared for sold properties. Adherence to reporting requirements for the portfolios under management (format and timing).
Co-ordination and supervision of the accounting administration and net income flows of the properties under management, and the payment thereof to the property owners. Project manage new client take on and new property acquisitions for existing client portfolios. A very good understanding of the take on process to ensure the adequate co-ordination of the take on of all new portfolios as well as new buildings for existing portfolios. A very good understanding of financial accounting to ensure the accurate preparation of annual financial statements for the companies forming part of the portfolios under management. Ensure compliance for VAT and income tax for all portfolios. A very good understanding of taxation (Income and deferred) to ensure the completion of income and deferred tax calculation for the relevant portfolios under management. Must have a detailed understanding of reporting standards and being up to date with newly effective standards. Ad hoc review of portfolio accountants provisional income statements. Overseeing the submission of all statutory returns. Ensuring that the departments performance is in line with management agreements and Service Levels Agreement.
Involvement in ad-hoc projects related to the financial and administration needs of the portfolios. Staff management for the Portfolio Finance Team including recruitment of staff and performance management. Important role regarding staff growth ensuring that staff have a clear and attainable future. EFT signatory on all portfolio bank accounts. Maintain good working relationships with Property Management and Asset Management divisions. Assist in the drafting and implementation of policies related to the financial systems and procedures. Implementation, modifications and ensuring the adherence to all internal controls. Ensuring that there are adequate, consistent monthly reporting packs for the respective portfolios. Ensuring suppliers payments are made in accordance with the pre-defined terms. Evaluate financial reporting systems, accounting and collection procedures, and investment activities, and make recommendations for changes to procedures, operating systems, budgets, and other financial control functions. Due to the high demands of the financial management position, there would be a need to work overtime where the need arises.
EXPERIENCE