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À propos du poste
PROCESSING CUSTOMER PAYMENTS
Processing payments, issue receipts, and maintain a balanced cash register.
Booking customer payments
Maintaining and filing supporting documents ie SAP receipts, cash receipts & cash receipt vouchers.
Performing daily reconciliation of cash receipts received, card payments processed and SAP postings recorded.
Following up and clearing on unallocated deposits weekly for all banks.
MATCHING
Matching cash guarantee accounts on a monthly basis.
Obtaining and following up on balance confirmations and matching instructions for matching purposes.
Compiling and sending matching instructions for Banks to Treasury on a weekly basis
POSTING OF JOURNALS
Raising adjustments journals for any mis posted entries in banks mentioned above.
Processing journals raised for adjustments in SAP timeously.
Raising and processing approved write offs/on of small balances to maintain a clean debtor’s ledger every month.
TEMSI
Processing of card fees
Preparing and submitting integration file for posting.
REPORTING AND CONTROL
Providing a report on customers credit balances and ensure credit balances above six months are cleared.
CUSTOMER SERVICE
Responding to queries raised from both internal and external customers with regards to payments.
COMPLIANCE AND SECURITY
Adhering to company cash-handling policies and procedures.
Preventing losses by following security and fraud-prevention measures.
Ensuring confidential customer information is protected.
PROCESSING CUSTOMER PAYMENTS
Processing payments, issue receipts, and maintain a balanced cash register.
Booking customer payments
Maintaining and filing supporting documents i.e. SAP receipts, cash receipts & cash receipt vouchers.
Performing daily reconciliation of cash receipts received, card payments processed and SAP postings recorded.
Following up and clearing on unallocated deposits weekly for all banks mentioned above.
MATCHING
Matching cash guarantee accounts on a monthly basis.
Obtaining and following up on balance confirmations and matching instructions for matching purposes.
Compiling and sending matching instructions for Banks to Treasury on a weekly basis
POSTING OF JOURNALS
Raising adjustments journals for any mis posted entries in banks mentioned above.
Processing journals raised for adjustments in SAP timeously.
Raising and processing approved write offs/on of small balances to maintain a clean debtor’s ledger every month.
TEMSI
Processing of card fees
Preparing and submitting integration file for posting.
REPORTING AND CONTROL
Providing a report on customers credit balances and ensure credit balances above six months are cleared.
CUSTOMER SERVICE
Responding to queries raised from both internal and external customers with regards to payments.
COMPLIANCE AND SECURITY
Adhering to company cash-handling policies and procedures.
Preventing losses by following security and fraud-prevention measures.
Ensuring confidential customer information is protected.
A degree in Accounting / Finance or any related field.
Minimum 2 to 3 years’ experience in a similar role
Must be articulate, analytical, customer oriented, self-motivated, a team leader and able to work without supervision.
Excellent communication skills (both oral and written).
Honesty, integrity and attention to detail.
Scope
Responsible for Processing payment receipts for fuels, lubricants, and rentals (+/-4000 accounts)
HSE
Constantly comply with TZIM HSE policies and procedures
Integrity
Cascade Code of conduct and TotalEnergies compliances.
To work professionally & ethically with internal & external business stakeholders
Vos missions
- Traiter les paiements clients, émettre les reçus et maintenir l'équilibre de la caisse
- Effectuer la réconciliation quotidienne des reçus de caisse et des paiements par carte
- Appliquer les instructions de rapprochement bancaire sur base mensuelle
- Traiter les journaux d'ajustement et les écritures de correction dans SAP
- Répondre aux demandes de renseignements des clients internes et externes
- Assurer la conformité aux politiques de manipulation des espèces et prévenir la fraude
Profil recherché
- Diplôme en Comptabilité, Finance ou domaine connexe
- Minimum 2 à 3 ans d'expérience dans un rôle similaire
- Compétences analytiques et orientation client confirmées
- Excellentes compétences en communication écrite et orale
- Intégrité, honnêteté et souci du détail
- Capacité à travailler sans supervision
Un plus si vous avez
- Expérience avec le système SAP
- Connaissance des systèmes bancaires multiples
- Leadership d'équipe
- Autonomie et auto-motivation
Compétences clés
Traitement des paiementsRéconciliation bancaireSAPGestion de caisseConformité financièreService clientComptabilitéSécurité des donnéesJournalisation comptablePrévention de la fraude
À propos de TotalEnergies

TotalEnergies
Pétrole, Gaz, Solaire, Éolien
50 000+ employésParis, France
TotalEnergies est une major énergétique mondiale présente dans plus de 130 pays, avec 100 000 collaborateurs et un chiffre d'affaires de près de 200 milliards d'euros. Historiquement ancrée dans le pétrole et le gaz, l'entreprise opère une transformation stratégique vers le solaire, l'éolien et le GNL, visant 100 GW de capacités renouvelables installées d'ici 2030. TotalEnergies est aujourd'hui l'un des cinq premiers producteurs d'électricité solaire au monde.