PURPOSE:

Responsible for receipting, banking, and reconciliation for daily banking vs receipts. She/he is also the responsible dispatch of receipts to customers.

PRIMARY RESPONSIBILITIES:

  • Receipting all Mpesa, Bank Transfers and cheques received from customers;
  • Disburse petty cash
  • Bank and reconcile the day’s collection and submit report to the Head of Reconciliations;
  • Respond to customer queries
  • Preparation of Branch Finance Reports;
  • Prepares and disburses imprests to the branches
  • Prepares and maintains post-dated cheque register
  • Branch debtors’ reconciliation
  • Sending out commission statements to intermediaries
  • Tagging and verification of Branch Assets
  • Any other duty as may be given by the Branch Manager

Education    

  • Bachelor’s degree in Business or in a related field    
  • Computer literate in MS Office and other office applications    
  • CPA (II) or ACCA – Fundamental or part qualification in the relevant professional field

APPLY ON THE OFFICIAL WEBSITE USING THE LINK BELOW:

OFFICIAL WEBSITE LINK

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