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Motebang N. — Junior Financial Reporting Analyst from South Africa

Motebang N.

Junior Financial Reporting Analyst

South Africa 3-6 years
Open to offersNew to Platform
Languages
English
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About

Motebang N. is a financial professional with extensive experience in accounting and finance, primarily centered around banking and treasury roles. He began his career as a Systematic Financial Intern, gaining five years of experience at Standard Bank in refinancing loans, where he was responsible for verifying information, assisting customers with refinancing processes, analyzing loan terms, and maintaining records for compliance. He then transitioned to Coca Cola South Africa as a Finance Clerk through Genpact, focusing on journal entries creation, month-end close activities, and reconciliations. Currently, at HSBC Bank in Johannesburg, he assumes the role of Product Control Analyst, emphasizing daily product control monitoring and market rate checks. He is proficient in software such as SAGE 300 and QuickBooks, and skilled in financial reporting, regulatory compliance, and audit preparation, implemented in both English and Sotho language environments.

Experience

  • Junior Financial Reporting Analyst

    HSBC Bank · 2022 — 2023
    Conducted daily Bank Reconciliations and prepared Journal Entries. Assisted the Finance Team with various Financial Controls and Adhoc Projects related to Financial Reporting. Compiled the monthly SARB BA900 Return and contributed to Financial Reporting efforts. Prepared monthly General Ledger Reconciliation and participated in the preparation of schedules for Tax Returns. Completed daily local regulatory reporting including the JSE Return and SARB B12 Return. Participated in the 2022 Bank for International Settlements Triennial Central Bank Survey of foreign exchange and OTC derivatives markets.
  • Finance Clerk

    Coca Cola South Africa (Contractor)
    Generated and recorded Journal Entries while reviewing Month End Close activities. Handled Fixed Assets Capitalization and Maintenance alongside Intercompany Accounting. Executed Bank and Investment Reconciliations, as well as General Ledger Reconciliations. Managed Fixed Assets Reconciliations, including FA Clearing and SL-GL, by identifying and clearing balancing items. Assisted with both Corporate Reporting and Internal and External Audit functions.
  • Product Control Analyst

    HSBC Bank
    Prepared daily Product Control Monitoring reports and conducted daily Off Market Rate Checks.
  • Learner, BCB VAF PPB & BCB Learners

    Standard Bank
    Managed the processing and administration of refinancing loans, verifying client information. Assisted customers in understanding the refinancing process, enabling them to make well-informed decisions. Analyzed loan terms, including existing residual values and interest rates. Calculated refinance amounts and provided customer support, while maintaining accurate record keeping and compliance standards.

Skills & Expertise

Education

  • Cost and Management Accounting
    Vaal University of Technology · 2014 — 2017
  • National Certificate in Commercial subjects
    Mohloli Secondary

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