Overall Purpose of the Job:
- The role involves providing financial support to the outpatient center, including the preparation of financial reports, under the supervision of the Health Centre Manager.
Key Responsibilities:
- Conduct daily revenue reconciliations for the business.
- Prepare regular business financial reports.
- Support the preparation of budgets, financial statements and records.
- Verification of cash transactions in the system.
- Participate in stock take processes at Health Centres according to established guidelines.
- Generate and dispatch invoices for services rendered to Credit Control on a daily basis.
- Manage and account for petty cash requisitions and expenditures in line with petty cash management procedures.
Education, Experience, and Competencies:
- Bachelor’s degree in Accounting or Finance.
- CPA (K) certification.
- Minimum of three years’ experience in financial processes.
- Proficiency in ICT.
- Self-motivated and a team player.
- Excellent communication skills.
- Strong analytical, organizational, and problem-solving abilities.