tsholofelotobaka1
About Candidate
A result driven entry-level, Finance professional with a robust foundation in financial analysis and investment management complemented by a strong academic background in Finance from the University of Johannesburg. Known for a strong analytical mindset and a strategic approach to problem-solving, with a commitment to maximizing value and efficiency in the business sector. Leveraging financial expertise to support the business operations, through account reconciliations, data capturing, financial reporting, planning and offshore investment administration. Proud of successfully maintaining 90% KPI across offshore client base resulting in significant time and efficiency gains. Highly passionate delivering tangible results and support business transformation. Seeking a challenging position that utilises my expertise while allowing me the opportunity to grow professionally.
Education
Work & Experience
• Executed weekly and monthly bank account reconciliations, ensuring compliance with service level agreements (SLAs) and maintaining accurate, up-to-date records to support operational efficiency • Managed client bank accounts by handling account openings and closures, journal entries, and data capture, ensuring adherence to financial policies and reducing manual errors. • Partnered with IT to automate daily transaction processing, cutting manual work by 20% and enhancing transaction accuracy, directly supporting SLA commitments • Collaborated with internal teams to resolve reconciliation issues promptly, maintaining customer satisfaction and ensuring accurate financial reporting. • Conducted variance analysis on key financial accounts, identifying trends to inform strategic decision-making and mitigate risks in financial operations.
• Maintained and updated internal Excel databases for financial tracking, enhancing accuracy and accessibility of transactional records. • Assisted in the mid-year financial audit by compiling financial data and preparing summary reports, contributing to a successful audit process. • Prepared and processed sales orders and invoices, ensuring timely and efficient handling of financial transactions to meet operational deadlines. • Processed and captured stock transactions, monitored inventory levels, and resolved discrepancies, supporting accurate financial tracking and inventory management.