Jobs Career Advice Post Job
X

Send this job to a friend

X

Did you notice an error or suspect this job is scam? Tell us.

  • Posted: May 11, 2026
    Deadline: Not specified
    • @gmail.com
    • @yahoo.com
    • @outlook.com
  • BDO helps a diverse range of clients with different needs. This is especially true of our Advisory Practice, which provides transaction, risk, wealth advisory, company secretarial, and HR services to clients navigating a range of challenges, changes, and opportunities. Our professionals are from a variety of multidisciplinary backgrounds, allowing us to del...
    Read more about this company

     

    National Credit Control Manager (JHB Illovo)

    Primary Purpose of the Job

    • To manage the national debtors' book of the firm. To manage a team of credit controllers and admin staff to ensure the prompt collection of monies owed to the firm, with the assistance of Credit control team leads

    Main Duties and Responsibilities

    Reporting

    • Oversee monthly Target Report calculation and weekly distribution to all controllers & HOF
    • Oversee Top 15 National & Regional to provide to HOF, CFO Oversee Top aged debtors to provide to service line heads twice a month
    • Report improvements – continuous effort to improve reports enabling us to better understand debtors' book.
    • Daily receipt totals to HOF & CFO
    • Monthly report on debtors with credit balances for VAT calculation Monthly account monitoring reports of problematic clients to CFO upon request

    Training 

    • Adhoc training to all staff members as required
    • Regular reminders on processes

    Partner Follow Ups

    • Following up with partners who have long outstanding debtors to push for resolve

    Challenging Clients

    • Where the controllers are facing challenging clients the NCM will step in and directly contact the client & partner to assist with the resolve

    Business Rescue

    • Keep track of clients under Business Rescue

    Liquidations

    • Keep track of clients in Liquidation

    Hand Overs

    • Sending of Hand Over Packs to MC van Dyk prepared by the credit controllers
    • Keep track of clients handed over to MC van Dyk
    • Responding to monthly status emails received from MC van Dyk

    Attorney

    • Sending of Hand Over Packs to our attorney, Keith Lang, prepared by the credit controllers

    Maconomy client data

    • Review data for changes made on the system to ensure proper supporting documents were received and saved – making use of the report sent out by Digitech
    • Reviewing data for missing items ensuring the credit controllers are following up and keeping it up to date

    Monthly / Bi-Weekly meetings

    • Drive recurring meetings to review overdue & large accounts, as well as any items required for discussion
    • Drive regular meetings per controller to review the books
    • Drive regular meetings with partners should the need arise
    • Drive regular meetings with service line leaders to address long outstanding debt and challenging clients/partners

    Staff support & guidance

    • Regular check in with staff members providing support and guidance as required

    CRM, Risk & Digitech Collaboration

    • With the view to ensuring alignment with all operational areas, to ensure processes and workflow are communicated and compatible to all

    Efficiency improvement

    • Continuously strive to review and improve processes and procedures to produce efficiency in all that we do

    Clear processes & procedures

    • Regular reviewing, updating, documenting and communication of processes and procedures to the team

    Standard Collection Letters

    • Producing & upkeep of standard collection letter templates for approval by CFO

    Debtor Provisions overview

    • Ensuring provisions are adequate and approved by CFO

    Staff training, development & motivation

    • Researching and finding courses for the controllers to attend

    Approval of demand letters

    • Signing of demand letters to be sent to clients
    • Ensuring partners are aware and in agreement

    Maintain partner controller list

    • Regular upkeep of partner, controller list for distribution to team & Digitech or any other parties as required in collaboration with Team Leads

    Portfolio per controller

    • Reviewing portfolio per controller to ensure fairness within the team

    Staff reviews

    • As set out by P&C

    Statement Run and Invoice Run

    • Reminders to staff and checking on updating of reconciliations, credit controller allocations, missing email addresses
    • Updating and distribution of the No Send List
    • Perform the statement run on Maconomy CloudPerform regular invoice run on Maconomy Cloud

    Statement Run Check

    • Distribute list of undelivered emails to controllers

    Team leave applications

    • Review and approve leave applications on ESS
    • Review leave balances to ensure leave is being taken

    Performance management

    • Should any staff member be identified as underperforming, follow the required Performance Improvement processes to effectively train and manage the staff member back to the required level of performance for their role

    Maconomy improvements & functionality

    • Investigation of Maconomy functionality and implement new functionality where required in collaboration with Digitech

    Client Refund Approvals

    • Reviewing and approval of client refund requests
    • Ensuring relevant documents have been included
    • Ensuring correct procedures have been followed

    Assisting with marking clients inactive / active 

    • In line with risk requirements and activity levels

    WHT Calculations

    • Overseeing WHT calculations done by Team Leads in Maconomy
    • Ensuring the correct supporting documentation has been received

    Monthly Calendar

    • Creation and distribution of our Monthly Schedule to all credit controllers, and or other persons as required.

    Annual billings schedule and reminders

    • Creation and distribution of our Annual billing Schedule to service lines and billing reminders

    Client Payment Arrangements

    • Reviewing and acceptance of client payment arrangements
    • Where required due to large balances, obtain approval from Partner / CFO

    Global incoming payments

    • Reviewing global incoming payments, do first approval and request HOD second approval
    • Send swift report to team
    • Send bank statements to team when admin lead is not available

    Intercompany debtor follow-ups

    • Oversee admin team process for following up on intercompany debtors

    Requirements
    Qualifications

    • Post Matric qualification

    Work Experience

    • Minimum 5 working experience
    • Working within a tea

    Knowledge

    • Working knowledge of credit control/collections practices/procedures
    • Good knowledge & understanding of Maconomy & our processes

    Technical Competencies

    • Accurate and detail orientated
    • Microsoft Office Applications - All
    • Intermediate Excel Skills 
    • Good problem solving & analytical skills

    Check how your CV aligns with this job

    Method of Application

    Interested and qualified? Go to BDO South Africa on bdo.mcidirecthire.com to apply

    Build your CV for free. Download in different templates.

  • Send your application

    View All Vacancies at BDO South Africa Back To Home

Career Advice

View All Career Advice
 

Subscribe to Job Alert

 

Join our happy subscribers

 
 
 
Send your application through

GmailGmail YahoomailYahoomail