Post Advances Support Officer (Book keeper) (SSPASOBK)
- Employer
- Armstrong Appointments
- Location
- Durban Durban eThekwini, South Africa
- Salary
- Competitive
- Closing date
- Aug 22, 2024
View more
- Job Role
- Book Keeper
- Sector
- Finance
- Contract Type
- Permanent
- Hours
- Full Time
You need to sign in or create an account to save a job.
Introduction
CORE PURPOSE OF THE JOB
The purpose of this position is to ensure all aspects of advances deals post payout is adequately and timeously dealt with. This includes but is not limited to generation of settlement letters, processing of settlements and early settlements, processing of releases, processing unpaid debit orders , extraction and issuance of statements (legal, audit, normal, etc), reimbursements, deals written off, amendments to debit orders, salary deal repayments, reconciliation of the Advances Transaction account, performance of customer and control reconciliations, handling customer queries and general assistance as by the larger technical support department as directed by the Post Advances support supervisor.
Duties & Responsibilities
MAINFUNCTIONSOFTHEJOB
Processing of unpaid debit orders
Ensure that all unpaid debit orders are processed correctly and timeously
Issuing of settlement letters
Ensure that all settlement letters logged by customers are actioned within agreed SLA turnaround times
Responsible for assisting in the implementing controls and processes to reduce turnaround times of issuance of letters while still ensuring all related risks are addressed
Early Settlements
Responsible for assisting in implementing processes and controls to ensure that all deals are settled and maturity and all relevant actions there are all actioned timeously.
Responsible for ensuring all system related issues are addressed to ensure accurate settlements take place as directed by the supervisor
Responsible for implementation of reports and automation to reduce time taken to perform early settlements as directed by the supervisor
Settlement of deals at maturity on agreed SLA times
Settlements
Responsible for ensuring accurate and timeous settlement to deals whereby higher amounts needed to be reversed due to and unpaid debit order.
Statements
Ensure Legal statements for deals written off or new legal handovers are accurately prepared.
Refunds
Responsible for ensuring that all refunds are processed accurately and timeously
Responsible for assessing and implementing new processes and controls (including automation and reports) to reduce refund payments made by ensuring debit orders are cancelled timeously
Writeoffsandbookcodes
Responsible for ensuring that all post payout deal amendments are handed in by the department. This includes processing of write off for abandonment or collection and amendment to deal book codes.
Debit orders
Responsible for ensuring all debit orders is amended in terms of banking details, dates or amounts as per request from the branch, which will include suspensions, once offs and amendments.
Salary Deal repayments
Ensuring all salary deal repayments is processed accurately and timeously monthly as per the salary deductions received from the Finance department.
Paid up letters for Logbooks and Title Deeds
Responsible for ensuring all requests received via email/Web are captured on the log and the paid-up letters are extracted with valid screenshots and sent to Post Advances Supervisor for sign off.
Responsible for ensuring that all requests are completed within the required SLA times.
Reconciliations:
Responsible for ensuring that all customer reconciliations requested are completed within the required SLA times.
Responsible for ensuring that all control reconciliations are cleared on a daily, weekly or monthly basis depending on the nature of the recons.
Reporting
Responsible for ensuring that all reporting and escalation of relevant matters are done accurately and timeously ensuring the impact on customers are kept to a minimal.
Adhoc
Responsible in assisting the Post advance support supervisor or Technical support manager with any ad hoc requirements including queries and projects.
Desired Experience & Qualification
QUALIFICATIONS
Matric
Finance Degree or Diploma
PREFERREDEXPERIENCE
A minimum of 3-5 years of Bookkeeping experience.
Shariah Banking experience would be an advantage, but is not necessary
KNOWLEDGE
Bank structures
Bank policies and processes
Bank product offerings
Bank systems
Microsoft office 365
Interested?
A Consultant will be in touch if you are shortlisted for the position. Please consider your application unsuccessful should you not have been contacted within 2 weeks. We will keep your CV on our database and contact you should you match the criteria of any other vacancies.
CORE PURPOSE OF THE JOB
The purpose of this position is to ensure all aspects of advances deals post payout is adequately and timeously dealt with. This includes but is not limited to generation of settlement letters, processing of settlements and early settlements, processing of releases, processing unpaid debit orders , extraction and issuance of statements (legal, audit, normal, etc), reimbursements, deals written off, amendments to debit orders, salary deal repayments, reconciliation of the Advances Transaction account, performance of customer and control reconciliations, handling customer queries and general assistance as by the larger technical support department as directed by the Post Advances support supervisor.
Duties & Responsibilities
MAINFUNCTIONSOFTHEJOB
Processing of unpaid debit orders
Ensure that all unpaid debit orders are processed correctly and timeously
Issuing of settlement letters
Ensure that all settlement letters logged by customers are actioned within agreed SLA turnaround times
Responsible for assisting in the implementing controls and processes to reduce turnaround times of issuance of letters while still ensuring all related risks are addressed
Early Settlements
Responsible for assisting in implementing processes and controls to ensure that all deals are settled and maturity and all relevant actions there are all actioned timeously.
Responsible for ensuring all system related issues are addressed to ensure accurate settlements take place as directed by the supervisor
Responsible for implementation of reports and automation to reduce time taken to perform early settlements as directed by the supervisor
Settlement of deals at maturity on agreed SLA times
Settlements
Responsible for ensuring accurate and timeous settlement to deals whereby higher amounts needed to be reversed due to and unpaid debit order.
Statements
Ensure Legal statements for deals written off or new legal handovers are accurately prepared.
Refunds
Responsible for ensuring that all refunds are processed accurately and timeously
Responsible for assessing and implementing new processes and controls (including automation and reports) to reduce refund payments made by ensuring debit orders are cancelled timeously
Writeoffsandbookcodes
Responsible for ensuring that all post payout deal amendments are handed in by the department. This includes processing of write off for abandonment or collection and amendment to deal book codes.
Debit orders
Responsible for ensuring all debit orders is amended in terms of banking details, dates or amounts as per request from the branch, which will include suspensions, once offs and amendments.
Salary Deal repayments
Ensuring all salary deal repayments is processed accurately and timeously monthly as per the salary deductions received from the Finance department.
Paid up letters for Logbooks and Title Deeds
Responsible for ensuring all requests received via email/Web are captured on the log and the paid-up letters are extracted with valid screenshots and sent to Post Advances Supervisor for sign off.
Responsible for ensuring that all requests are completed within the required SLA times.
Reconciliations:
Responsible for ensuring that all customer reconciliations requested are completed within the required SLA times.
Responsible for ensuring that all control reconciliations are cleared on a daily, weekly or monthly basis depending on the nature of the recons.
Reporting
Responsible for ensuring that all reporting and escalation of relevant matters are done accurately and timeously ensuring the impact on customers are kept to a minimal.
Adhoc
Responsible in assisting the Post advance support supervisor or Technical support manager with any ad hoc requirements including queries and projects.
Desired Experience & Qualification
QUALIFICATIONS
Matric
Finance Degree or Diploma
PREFERREDEXPERIENCE
A minimum of 3-5 years of Bookkeeping experience.
Shariah Banking experience would be an advantage, but is not necessary
KNOWLEDGE
Bank structures
Bank policies and processes
Bank product offerings
Bank systems
Microsoft office 365
Interested?
A Consultant will be in touch if you are shortlisted for the position. Please consider your application unsuccessful should you not have been contacted within 2 weeks. We will keep your CV on our database and contact you should you match the criteria of any other vacancies.
You need to sign in or create an account to save a job.
Get job alerts
Create a job alert and receive personalized job recommendations straight to your inbox.
Create alert