
Delsha Bothma

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About me
Senior Finance Officer at Nedbank
Education

CHRIS JAN BOTHA SENIOR SECONDARY HIGH SCHOOL
-
Experience

Nedbank
Jan 1998 - nowDeliver value adding, trusted & insightful financial results that aligns to the business needs & aid in decision making-To provide a financial management service to stakeholders through effective processing, monitoring, financial analysis & reporting, thereby ensuring that good governance & financial controls are maintained.-Gather, analyze, produce, maintain, develop & report reliable financial & non-financial management info to support the requirements of the business unit. - Manage the income statements & balance sheet effectively by ensuring that transactions are appropriately accounted (i.e correct GL postings & monitoring of payments).-Improved insights through reporting enhancements & relevant financial commentary.-Progress towards reducing any alignment gaps between the business & finance.-Creating effective communication, building meaningful relations & improved insights to enhanced reporting.Achieve tangible efficiencies within the business through complete & responsible budgeting, forecasting & planning- Manage the income statements & balance sheet effectively by ensuring that transactions are appropriately accounted for i.e Prepaids, Accruals, Provisions, etc.- Improved quality of monthly financial results reporting by compiling, interpreting & presenting management packs for each division.-Assisting with Groupwide initiatives by providing sound guidance to customers by earmarking potential savings & red flagging over runs through monitoring/analyzing budgets and making the necessary adjustments in Rolling/quarterly forecasts.-Ability to evaluate business case solutions for various projects.Submission of monthly Directors fees rem schedules & accurately declaring of GAC expenses to Group Risk & external Auditors (quarterly & annually)-Ensure compliance to GAC requirements i.t.o. Director’s rem & expense schedules accuracy of monthly Directors Board fees.Manage risk & audit issuesEnhance service approach for positive customer experience Show less -To provide a financial management service to stakeholders through effective processing, monitoring, financial analysis and reporting, thereby ensuring good governance and financial control is maintained. -Gather, analyze, produce, maintain, develop and report reliable financial & non-financial management information to support the requirements of the business unit. -Processing of invoice payments and staff reimbursements – ensuring that suppliers/staff are promptly paid.-Lead, manage, develop & motivate my subordinates by ensuring that their roles/responsibilities and deadlines are met – encouraging effective and open communication therefore ensuring that my area runs smoothly. -Accept new challenges and to provide financial management and controls in respect of the cluster, monitor expenditure against budgets and ensure that all expenditure is properly authorized by divisional heads. -Provide assurance to the divisional executives of Group Finance i.e income and expenditure, ensuring that the assets and liabilities of the division are properly controlled and that the reporting can be relied upon.-Establish & operate an effective system of internal financial controls, complying to bank policy.-Managed Month-End Process (updated financial schedules) develop relevant financial packs & understanding the key drivers & analysis.-Maintain effective relationship with all stakeholders (internal & external).-Ability to evaluate business case solutions for projects.-Manage Ad Hoc Requests & Administration.-Plan & manage budget/forecast (monthly, annual as well as 3 year plans). Show less Reconciliation Clerk-Reconciling and balancing various company accounts (both local & international). -Ensuring that all files and transactions were processed timeously – in this way preventing loses to our company and clients.-Liaising with international centre’s to ensure that all foreign payments, transactions and receipts were accurately balanced and that the files were successfully received and run.-Reporting and escalating of incidents and resolving queries timeously – therefore ensuring that service level agreements were inline. Show less
Senior Financial Officer
Jan 2012 - nowFinance Officer
Jan 2006 - Jan 2012Reconciliation Clerk
Jan 1998 - Dec 2005
Licenses & Certifications

Bookkeeping to Trial Balance, Payroll & Monthly Tax Returns, Business Literacy, Financial Statements, Cost & Management Accounts, Corporate Strategy, Management Accounting Controls, Financial Reporting & Regulatory Frameworks.
Damelin/ICB- View certificate

Business Writing Fundamentals
Corporate Finance InstituteNov 2022 - View certificate

Introduction to Business Intelligence
Corporate Finance InstituteNov 2022 - View certificate

Critical Thinking for Better Judgment and Decision-Making
LinkedInApr 2021 - View certificate

Communicating with Diplomacy and Tact
LinkedInOct 2022 - View certificate

GenAI and Predictive AI with Cloud Computing: Core Concepts
LinkedInApr 2024 - View certificate

Strategic Partnerships
LinkedInMar 2021 - View certificate

Leading through Relationships
LinkedInNov 2022 - View certificate

Problem Solving Techniques
LinkedInApr 2021 - View certificate

Developing Business Acumen
LinkedInMar 2021 - View certificate

Communicating with Confidence
LinkedInJun 2021 - View certificate

Strategic Planning Foundations
LinkedInApr 2021 - View certificate

Learning Data Analytics
LinkedInJul 2023 .webp)
FINANCIAL DIPLOMA
ICB UK (Institute of Certified Bookkeepers)- View certificate

Developing Executive Presence
LinkedInJun 2021 - View certificate

Finance Strategies for Business Leaders
LinkedInApr 2021 - View certificate

Business Development: Strategic Planning
LinkedInApr 2021
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