Minimum Requirements: Undergraduate Degree in Business, Engineering or Computer Science Formal training in Business Analysis Minimum of 5 years experience in the Medical Insurance or Financial Services industry At least 5 years experience as a Business or Systems Analyst on software and process re-engineering projects Proven experience in system implementation projects, project methodologies, and a strong understanding of technology principles Hands-on experience working within Agile project environments Familiarity with lean principles and iterative product development focused on Minimum Viable Products (MVPs) Strong background in process re-engineering initiatives In-depth understanding of IT software products and software development life cycles Experience in software testing and quality assurance processes Strong technical acumen with a genuine passion for technology Foundational understanding of UI/UX design principles and modern software development practices Skilled in facilitating workshops and stakeholder engagement sessions Excellent communication and organisational skills Strong attention to detail and accountability Additional coursework in IT software development or software products Key Responsibilities: Serve as the primary point of contact for all technology requirements across the Financial Cluster Oversee and manage financial operations within the Financial Services Cluster including the development and execution of budget forecasts and strategic plans informed by historical data and leadership insights Leverage financial data and management input to deliver strategic recommendations aimed at enhancing business performance, profitability and cash flow generation Ensure compliance with financial regulations and reporting standards through accurate and timely preparation of financial statements and reports Develop and implement financial policies, procedures, and internal controls aligned with industry best practices Support the development and execution of strategies to optimize cash flow management Lead and mentor the finance team in budget forecasting, cash flow analysis, and month-end close processes Prepare comprehensive month-end reporting packs, including Profit and loss analysis, cash flow and balance sheet reconciliations, ensuring all financial activities are accurately captured and reported on time Collaborate with cross-functional teams to align budget forecasts and financial strategies with operational plans, driving effective resource allocation and cost control Conduct advanced cash flow analysis, identifying opportunities to enhance working capital management and improve liquidity within the microfinance sector Drive innovative initiatives to generate cash across the microfinance, debt collection, and insurance sectors, while ensuring alignment with regulatory requirements and industry standards Coordinate with internal and external stakeholders, including auditors, to ensure efficient year-end processes and delivery of accurate reporting packs to Group Exco Proactively identify and mitigate financial risks, discrepancies, or issues, implementing corrective actions where necessary Stay current with industry trends, regulatory updates, and best practices in financial management, budgeting, and microfinance to support continuous improvement Are you looking for your next move? This might be your role, apply now!!
Business Solutions Owner
OPEN SOURCE (PTY) LTD
johannesburg, johannesburg
Published 23 days ago
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