IZI South Africa, a leading South African cash management and secure logistics company providing services like cash-in-transit (CIT), cash supply, processing, and ATM management, is seeking a detail-oriented and experienced Reconciliation and Compliance Manager to join our team our Head Office - Centurion.
The successful candidate will be responsible overseeing and managing the implementation, adherence, and monitoring of all Reconciliation and Operational Cash Controls (ROCC) and compliance activities, with a specific focus on cash processing, reconciliation, and risk mitigation within all Cash Management Centres nationally.
The Key Responsibilities will Include:
Be the custodian of ROCC Cash Solutions SA
Develop expertise in each business units' cash reconciliation risks, systems and procedures.
Participate in and manage the development of country improvement plans as required. These plans will be geared towards ensuring that the businesses standard internal controls and best practices are applied consistently and are effective in reducing cash reconciliation risks to acceptable levels. In particular ensuring the business units implement recommended actions arising from businesses Cash Reconciliation Audit Report findings and that required controls are embedded in operating procedures
Review all branch procedures to ensure adherence to ROCC (independent review of all processes and procedures)
Coordinate and oversee the Control Self Assessments to be completed by all branches 2x annually. Visits a sample size of branches to conduct the CSA with collaboration of regional teams.
Update the Master Action Plan monthly
Respond immediately to any ROCC deviations within the country and take the necessary actions to ensure risk is mitigated Manage that weekly cash counts were conducted, receive feedback, analyse results and escalate deviations, issues and potential losses to the applicable management teams (Country & Region)
Review all cash differences conduct discrepancy trending to identify patterns and report / escalate accordingly
Receive feedback from branches wrt any backlogs and report timeously to the applicable management teams (Country & Region)
Continuously monitor key cash controls to identify risks and support performance challenges at an early stage.
Conduct regular risk assessments focusing on the analysis, identification, description, and estimation of cash processing risks affecting the business.
Continuously monitor key cash controls to identify risks and support performance challenges at an early stage, enabling these to be resolved quickly and effectively for the benefit of the country
Ensure all customer reports are prepared and submitted daily by the Regional Reconciliation Administrators (Corporate Customers Balance Certificates and supporting documents)
Report findings to regional and business management both verbally and via written reports, in particular:
Collaborate with the Regional Reconciliation Manager to complete all required ROCC reporting;
Producing weekly/monthly country audit finding/branch visit reports
Manage all relevant Cash Audits and follow up on all findings and recommendat