Job Description
Finance Assistant will be responsible for ensuring IRC systems and procedures of internal controls are followed when committing financial transactions in Hagadera and ensuring there is enough cash to implement the program activities.
Job Responsibilities
Bank and Cash Payment Process.
Maintain petty cash at the set limit always ensuring no cash shortage.
Ensure that all cash payments are fully supported and are authorized at set limits as per IRC Kenya delineation chart before disbursement.
Prepare the petty cash upload spreadsheet to upload stage ready for review by Senior Finance Officer before submission to Nairobi Finance.
Monitor and track cash advanced to program and support staff monthly and ensuring that liquidation reports are prepared, and ready for review by Snr. finance officer.
Incentives payments after receiving correctly coded and approved incentives staff payrolls from Snr. finance officer.
Perform petty cash counts every Friday with Field Coordinator or his designate.
Ensure that all cash received is duly receipted, coded, and promptly banked.
Assist in preparation of bank reconciliation statement monthly for Hagadera bank accounts.
Rubber stamping ‘paid’ on all such documents once checks and payments vouchers are signed before filling or retention.
To reconcile Citibank KES bank account and prepare the upload file on a monthly basis.
Maintain an organized and well documented folders for all payments made.
Act as a bank agent for Hagadera bank account.
Any other duties as may be assigned by supervisor.
BvA
Clear all payments from Online BvA at the point of processing the payment to ensure that no double counting on the online BvA.
Audit Assist/Inter departmental.
Assist in retrieval and re-file of documents as requested by supervisor.
Other
Be receptive to the training IRC will give to develop your technical and professional competence.
Be adaptable and flexible with a view to taking on board new tasks and new assignments in due course.
Key Result Areas
Timely payments of suppliers and incentive staffs using fully authorized vouchers as per the authority delineation chart
Timely monitor and tracking of advances and processing of liquidations
Maintain up to date filling system for the financial documents and correspondence
Keep online update of the cash book spread sheets and reconciliation of the cash daily.
Perform supervised petty cash counts every Friday.
Rubber stamping ‘paid’ on all such documents once checks and payments vouchers are signed before filing.
Qualifications
Minimum CPA II qualification. University degree is an added advantage.
At least one years of finance and accounting experience in a similar post.
Proficiency in SUN accounting software applications is an added advantage.
Knowledge of Microsoft Office software.
Excellent interpersonal, organizational, and time management skills
Supportive personnel management style and ability to work in and as a team
Strong leadership skills.
Excellent spoken and written English.
Please make sure to include copy of Certificate of Good Conduct in your application
go to method of application »
Use the link(s) below to apply on company website.
Apply via :
Leave a Reply