1. SCOPE OF WORK – TOGIDAH ERICKSEN 1
Personal Assistant to the CFO (25%)
AZtecs expense report allocations (monthly)
Ensure documents required for approval are forwarded via DocuSign (initiate envelopes for non-account
holder requests)
Diary management
General administration
Travel bookings (Conferences, international and local meetings):
International and local flights
International and local Accommodation
Transfers local and international
VISA applications (online submission or collation of required documents and submitted to
VISA’s agency)
FOREX order and buyback requests to Bidvest, and reconciliation thereof
Ensure Nedbank company credit card limits sufficient for travel requirements
Enable foreign currency transactions enabled with Nedbank for international travel
Conference or event registration
Finance Administrator (75%)
Wholesaler log fees:
Extract monthly sales report from MedIQ
Clean data to ensure that non-contracted distributors excluded
Ensure correct % log fee calculated per wholesaler
Forward log fee schedules to wholesalers
Monthly PR/PO creation or amendment thereof in SAP per distributor (approx 23 vendors), as
per schedules
Ensure invoices are received and submitted for payment
Monthly tracking to ensure payment on time
Maintain relations between WholeSalers, AstraZeneca and Genpact
Query resolution:
Payments not done timeously
Ensure Genpact processes credit notes and invoices correctly
FOREX (Bidvest):
Authorized signatory for Forex orders (max of R3000.00)
Submit FOREX orders received to Bidvest
Submit buybacks received to Bidvest
Ensure policy adhered to
Assist Financial Controller with monthly reports
Assist Financial Controller with monthly foreign currency reconciliation
Provide required FICA documents to Bidvest annually
Diners Club Card (held at Bidvest for FOREX order payment)
Ensure monthly payment of Diners invoice
Ordering of replacement card when expired
2. SCOPE OF WORK – TOGIDAH ERICKSEN 2
Finance Administrator (cont.)
Nedbank (183 cardholders):
Authorized administrator
Submission of new applications of all new Staff to Nedbank
Submission of temporary or permanent credit line limit increases as required per cardholder
Maintain correct permanent credit limit increases/decreases for cardholders as per their
career levels (e.g. when promoted)
Advise Nedbank in advance of upcoming card expiry dates for each cardholder
Request monthly updated card listing from Nedbank
Provide updated monthly card listing to AMEX for service fee charges
Cancel lost, stolen and Leavers’ cards for every cardholder
Ensure correct approval procedures adhered to for new applications as well as temporary or
permanent credit limit increases
Receipt and distribution of new/replacement cards every cardholder
Liaise with Intercoms regarding unattached transactions for cardholder expense submissions
Query resolution (frequent and ongoing)
Mobile number changes for cardholders to ensure transactional sms’es received
Name changes
Faulty credit cards reported and replaced
Genpact:
Administrator between Marketing Company and Genpact P2P team
Forward Vendor statements for reconciliation
Provide monthly Nedbank statements and transactions for all cardholders
Provide invoices and statements received for debit order payments
Assist Financial Controller and SAP IT Manager with SAP release group DoA maintenance
Monthly Payments On Time (POT) reporting, analysis and improvement
Assist Financial controller with general queries
Query resolution between Genpact, internal stakeholders and vendors (frequent and ongoing):
HealthCare Professionals/HealthCare Organization payments not made as per
payment terms
Non-Purchase Order/EFT payments not made as per payment terms
Confirm correct banking details provided
SAP release group and SAP user query resolution
Reimbursement payments to staff
Newgen:
Maintenance of Newgen release groups as per DoA for all HCP/HCP/Non-
PO/EFT/reimbursement payments
Ensure PO’s completed and invoices paid for all PO creators who have left the organization to
ensure Newgen workflows resolved, until position is filled
Assist PO creators with Newgen query resolution and pending workflow items
Assist with ensuring DoA’s profiles created and active in Newgen
Query resolution (frequent and ongoing)
Investigate and amend PO’s where values differ from invoice
Assist in re-routing payment workflows in Newgen to active/available DoA
Assist with re-routing of payment workflows in Newgen to active/available PO
creators
3. SCOPE OF WORK – TOGIDAH ERICKSEN 3
Finance Administrator (cont.)
AZtecs:
Maintenance of AZtecs DoA to ensure submitted expense reports are routed to correct line
manager for approval as per monthly updated organograms (ZA10/HRMM report)
Maintenance of AZtecs DoA approval limits monthly, as per career levels for all Nedbank
cardholders (ZA10/HRMM report)
Submit AZtecs data change requests are implemented (e.g. DoA, name or career changes)
Manual tracking of expense reports submitted
Shipping of collated monthly expense reports to Bottomline Technologies in the UK, for
expense report and receipts scanning into AZtecs
Customer services and query resolution for approximately 183 cardholders
New starters’ access; Finance Administrator to:
Collate all required information from each cardholder and submit to Genpact,
Procurement Administrator and IT for user creation
Ensure cardholder’s SAP profile is created by IT Business partner
Ensure a SAP vendor account is created by Procurement Administrator
Ensure AZtecs profile is created by Genpact
Ensure vendor account and AZtecs profile is linked by Genpact and procurement
Administrator
Ensure all Nedbank credit card transactions have been loaded in AZtecs for expense
report allocation and submission by cardholder/AZtecs user
Leavers’ expenses; Finance Administrator to:
Ensure cardholder submits manual expense report
Ensure all receipts as per statement transactions are submitted
Collate receipts
Request proxy
Create expense report and allocate all transactions to correct cost centre, GL and
activity codes
Submit expense report and receipts in AZtecs for Line Manager approval
SLT Report:
Collate reports received from BSG business units
Responsible for reporting and analysis of POT (Payment On Time)
Compliance Line monitoring reporting of:
HCP late payments
Travel exceptions (travel booked in less than 14 days of departure date)
Expense reporting (no receipts declarations)
General reporting of breaches, approved exceptions and areas of concern
Geodis Wilson:
Monthly collation and filing of netting statements with all relevant supporting documents
Assist Financial Controller with annual imports audit
Provide all supporting documentation as stipulated in audit requirements from KPMG
Liaise with distribution department and Genpact for required supporting
documentation
4. SCOPE OF WORK – TOGIDAH ERICKSEN 4
Finance Administrator (cont.)
Training:
Monthly induction training of Finance business expense and credit card policies to all new
hires
Monthly AZtecs expense report submission training to all new hires with company credit cards
Ongoing distribution of “How To” processes to all AZtecs users / credit cardholders
(screenshot instructions of general processes)
Training to all staff of FOREX ordering and reconciliation thereof (as needed)
Workday ambassador to BSG Team (loading of goals, performance reviews and Leave in
WorkDay)
SAP training to PO creators, for example:
Purchase Requisition creation for Purchase Order approval
Purchase Order value amendments
Goods receipting in SAP
Cost tracking to assist Managers with monitoring cost centre spend
Vendor payment tracking
Mobile providers:
MTN, Vodacom invoice approvals by CFO and contract owner
Assist in contract renewals/upgrades (3 active contracts)
Ensure monthly invoices signed off by contract owner and CFO
Ensure Country President and Compliance Director’s limits maintained
Provide monthly invoices and statements to Financial Controller/Genpact or reconciliation
MTN
Vodacom
Cellfind
BSG (Business Services Group) Support:
Business Expense Policy updates (annual / ad hoc)
Back-up for ZAScanning Team: Scanning of invoices into Newgen in Sam’s absence and over December
Back-up for Procurement Administrator: PO creation for urgent orders
Switchboard duty: Relieve Mpho at least twice monthly
Canteen, business card and stationery orders
BSG Departments:
Finance
IT/IS
Procurement
Supply Chain, Operations and Distribution
BSG travel:
SMT, manager and group travel, mainly international
Project/international visitor arrangements
VISA application document requirements
FOREX orders and buybacks
Nedbank card limit increases and enable foreign currency
5. SCOPE OF WORK – TOGIDAH ERICKSEN 5
Finance Administrator (cont.)
BSG monthly Team meetings:
Meeting coordination
Agenda, Minutes taking and distribution
Assist with coordination of annual BSG TeamBuild (aim to become project owner)
AdHoc Projects:
BSG Simplification EXPO (part of committee focused on simplification)
VEEVA: E2E finance integration (assisting SFE Team along with Financial Controller with required
information)
AZtecs photo-receipting tester
SAP PO automation (SAP PO mailbox owner)
Learn & Share
This project was initiated by myself, where technical strengths/ soft skills are shared amongst the
business support team
Ongoing SAP training and user-friendly manuals created and shared with the team