JOB PURPOSE

The Treasury Accountant will process HQ and KCO payments, preparing EFT, Cheque and Mpesa vouchers/schedules as appropriate.

PRIMARY RESPONSIBILITIES
KEY AREA ACTIVITIES
Processing Payments  

  •  Process approved supplier payments and staff advances through EFT, cheques or Mpesa as appropriate
  •  Process country call downs as approved by Management
  •  Creation and input ofsupplier bank details(on basis of an independent written confirmation) into Microsoft Dynamic Navision Accounting System

Banking of Receipts  

  • Bank all receipts from staff surrenders, tender payments and issuing a receipt of the same posted into Microsoft Dynamic Navision Accounting System

Bank and Interledger Reconciliations

  •  Prepare monthly Bank and interledger reconciliations and ensure outstanding entries are promptly dealt with

Cash and Bank Management

  •  Monitor bank balances to ensure adequacy of funds for smooth daily operation of the bank accounts and to detect any reconciling items
  •  Process foreign exchange conversion and fixed deposit investments as approved by Senior Management

Others

  •  Support the Finance department in external and internal audits
  •  Perform any other duties that may be assigned by the supervisor

REQUIRED QUALIFICATIONS
Education and Professional Qualifications

  •  Bachelor’s degree in Accounting, Administration, Finance, Commerce or relevant field
  •  Professional qualification – CPA II or its equivalent

Required Qualifications and Experience

  •  Minimum of four (4) years’ relevant experience
  •  Experience handling multi-currency transactions

Skills and Competencies

  •  ICT proficient, accounting and ERP software
  •  Excellent oral and written communication skills
  •  Analytical and attention to details
  •  Good organization, planning and coordination skills
  •  Problem solving skills
  •  Team player
  •  Ability to work under minimal supervision

Apply On The official website Using The Link Below

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