Job Description
Responsibilities
Prepare and review monthly reconciliations of assigned balance sheet accounts and ensure that general ledger accounts are reconciled with resolution to reconciling items
Bank accounts reconciliations and resolve various issues with banks such as cleared cheque differences, bank fee anomalies and targeted balance calculations.
Preparation of monthly management accounts
Control all expenditure within laid down budgetary limits and justify them to the management
Ensure timely and efficient payment to creditors
Monitoring and interpreting cash flows and predicting future trends
Review and recommend modifications to accounting systems and procedures
Ensure accurate allocation of cost to the correct cost centre’s
Creditors and debtors accounts reconciliation
He / she will be in charge of record keeping.
Prepare financial statements and produce budget according to schedule
Preparation and submission of all statutory payments on time.
Well conversant with accounts payables and receivables.
Ability to handle payroll system, PAYE, NSSF, NHIF and file returns.
Qualifications
Degree and a CPA ( K)
Must have analytical skills
Having worked in an audit firm will be an added advantage
3 years’ experience
Conversant with quickbooks
An understanding of reporting and record keeping required
A good understanding of Kenyan tax legislation
Good interpersonal skills
Excellent communication and analytical skills
Good in Microsoft Excel and Microsoft World
Key Competences
Good interpersonal and communication skills
Good listening skills
Problem analysis and problem-solving
Attention to detail and accuracy
Ability to multi task and adapt easily
Ability to work under pressure with no or minimum supervisio
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