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Kyalami
Anelisiwe Nomqonde

Anelisiwe Nomqonde

Cash Management

Accounting / Finance

Kyalami, City of Johannesburg Metropolitan Municipality

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About Anelisiwe Nomqonde:

I am an articulate, focused and capable Accounting professional with a good working history of providing quality results in the financial areas of a business. I come with a strong background of Accounting from high school till varsity together with my treasury management working experience. I have a considerable accounting experience of cash flow statements, income statements, balance sheets and budget reports. Aside from my technical abilities I have excellent communication skills which allow me to clearly relay financial information to team members. A very driven and passionate individual, with outstanding interpersonal skills and a keen understanding of diverse workforces gained from working for international organisations.

Experience

Treasury Specialist Feb 2018 – Present

Responsibilities: Cash Management, FX Hedging and Reporting

 

• Understand the external and internal treasury risk of the Southern Africa Region’s and able to mitigate the risk and finding the problem.

• Make cash, bank or account reconciliation, as well as fix any unsolved discrepancies through the use of transaction report.

• Help the organization increase profitability by assessing periodic liquidity need, such as inter-company fund transfer arrangement, intra-company transfer and borrowing application

• Ensure the compliance and safety of treasury transactions and settlements (such as Forex documents preparation and Forex compliance applications)

• Ensure the compliance and safety of treasury transactions and settlements

• Monitor FX risk management to ensure effective implement of FX policy

• Assist in local investment and financing business (only applicable for those regions that support local investment and financing)

• Establish close working relationship with HQ Treasury to integrate regional treasury management

• Accurate FX booking on Spot deals only.

• Bank account opening and closing for respective entities.

To ensure that Treasury Administration is properly managed (Verbal and Signatory Mandates, EXCON and Guarantee applications).

• Daily and Monthly Cash Flow Management for Huawei South Africa (Pty) Ltd and Market Area Africa.

• Prepare and provide documents for both Internal and External Audit.

• Maintaining relationship management with financial institutions.

• Address queries and ensure timeous delivery (Bank and internal issues).

• Adherence to Huawei South Africa (Pty) Ltd guidelines, policies & procedures.

• Ad hoc projects as assigned by management.

 

Cash Forecast:

• Compile the monthly cash forecast for payments and manage the cash flow of the subsidiaries.

• Monitor incoming funds and remittance of funds to ensure it’s in compliance with internal and external procedures.

• Compile report on the cash forecast results monthly and share solutions going forward.

• Oversee the administration and management of the company’s bank accounts and liaise with banks in obtaining bank statements and reports.

• Assist with reconciliation of bank accounts to ensure all banking transactions are included and accurate.

• Keep all the financial and relevant records of treasury transitions are kept safe.

 

Intercompany Settlements:

• Settle all the intercompany payments when due and ensure all documentations are in place.

• Collect all the intercompany receivables when due.

• Assist in intercompany applications to ensure comply with country laws, collect loan when required and repay back before expiry date of drawdown.

• Assist in registering intercompany contracts with central bank.

• Compile document with all the exchange regulations for different countries for cross boarder payments.

 

 

 

Bank Account Management: E-banking platforms

• Assist in obtaining internal approval for KYC documents requested by bank.

• Bank account opening process: Reviewing agreement with legal, obtaining internal information, assisting in obtaining signatures on documents.

• Setting up the e-banking platform for newly opened bank accounts and arranging test payments.

• Setting the signatories for bank accounts with the bank and ensuring   updated when they expire.

• Maintaining relationship with the bank to ensure company transactions are processed timely and accurately.

 

Education

Bcom Accounting degree majoring in:

  1. Accounting
  2. Financial Management
  3. Taxation
  4. Auditing

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