Job Description
Key Responsibilities
Cash & Bank payments processing
- Assist with maintaining both Kshs. petty cash at the set limits and take responsibility of any cash differences arising.
- Ensure that there is sufficient petty cash at all times for Ksh. for smooth operation
- Ensure all Petty cash payments are properly supported and duly authorized per IRC delineation schedule before disbursement.
- Ensuring that authorizations on the payment’s requests are in line with the approved limits per the delineation chart
- Preparation of petty cash spreadsheets to upload stage ready for review by FA at the end of the month.
- Ensure that a supervised petty cash counts are performed every Friday.
- Devise a cash replenishment schedule to minimize weekly bank visits
- Ensure authorized receipts are correctly coded and issued upon receipt of monies.
- Maintaining the receipt book and ensuring that authorized receipts are issued upon receipt of monies.
- Assist with reconciliation of KES bank account and preparation of spreadsheets to upload stage ready for review monthly
Filing and Digital Filling
- Maintain an organized and well-documented (all files must be labeled properly and visibly) and sequential filing system for all cash disbursement vouchers
- Before filing, ensure that all documents have been stamped ‘PAID’ including cash payment reference details.
- Scanning all financial documents and digitally filling them.
Audit Facilitation
- Retrieving, reviewing and filling back audit documents.
Other
- To maintain an organized and well-documented bank correspondences file ensuring it’s continuously updated.
- Work closely with Finance Assistant to ensure effective training.
- Assist Finance Assistant with cashbook update and maintenance.
- Any other duties as may be assigned by supervisor.
Qualifications
- A bachelor’s degree in accounting, Business Administration, Commerce or CPA II.
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