Company:
Old Mutual
Industry: Banking / Financial Services
Deadline: Dec 30, 2025
Job Type: Full Time
Qualification: Bachelors, Matric
Experience: 2 years
Province: Gauteng, Western Cape
City: Johannesburg
Field: Finance / Accounting / Audit
Job Description
- Perform professional accounting work, including compilation, consolidation, and analysis of financial data. The role requires an understanding of accounting fundamentals and principles, as well as experience in bookkeeping.
- Responsibilities may include any or all the following: ledgers and preparation of journal entries, preparation of trial balance or financial statements, intercompany transactions, bank account reconciliation.
- This role supports the Senior Management / Financial / Product Accountant and is responsible for the compilation of documents for the development of management reports. Assists with the compilation of budgets and management of expenses.
Management Reporting
- Compiles supporting documents for management accountant.
- Prepares draft reports.
- Assists with the compilation of budgets.
- Assists with the management of expenses.
- Prepares internal management report.
Financial Reporting
- Compiles and populates records to trial balance level.
- Prepares draft income statement and balance sheet.
Reconciliations
- Ensures accurate reconciliations are done and followed up.
- Reviews control accounts and reconciliations.
Specific to the role
- Processes journal entries in relation to the Central segment (0140 – 0142, OMEM and OML), timeously and accurately.
- Performs calculations to determine financial transactions required e.g. leave pay journal
- Ensures that the financial records, including the balance sheet is valid, accurate and complete.
- Support Business Partner team in preparation of annual business unit budgets and quarterly forecast in IDU budgeting tool
- Performs inter-company reconciliations and confirmation of balances; and corrects mismatches timeously.
- Reconciliation of all balance sheet accounts, ensuring that reconciling items are constantly monitored and actioned, and that there are no long outstanding reconciling items.
- Follows up on long outstanding debt owed to and by the business unit
Prepares, and submits within agreed deadlines:
- HFM Submissions (Monthly, Half Yearly, Annually)
- Disclosure submissions
- Analytical reviews
- Tax schedules
- CFO sign off
- Produces balance sheet reports.
- Raising of accruals as and when necessary
- Processing of AGIS transactions
- Support the Finance Manager with ad-hoc tasks including business planning
Qualifications and experience required:
- Matric and Tertiary Finance Qualification
- 2+ years’ financial accounting experience
- Profit transfer process
- Knowledge of HFM
Skills
- Budget Management, Computer Literacy, Database Reporting, Data Classification, Data Compilation, Data Controls, Data Encoding, Data Modeling, Document Management, Financial Auditing, Management Reporting, Numerical Aptitude, Oral Communications, Report Review
Competencies
- Business Insight
- Communicates Effectively
- Decision Quality
- Ensures Accountability
- Financial Acumen
- Manages Complexity
- Plans and Aligns
- Tech Savvy
Education
- Bachelors Degree (B)
Closing Date
- 26 September 2025