RESPONSIBILITIES
Documenting the accounting process to capture the SPVs business model
Reconcile the intercompany balances between the entities in the company
Ensure subsidiary books are reconciled at all times (trade receivables, trade payables and inventory)
Prepare daily, weekly, monthly and ad hoc reports to support business decision making
Manage the accounting function of all the entities
Prepare schedules for all accounts in the general ledger for entities under management
Ensure postings are done in the system based on approved source documents
Ensure the entities under management are compliant with all taxation and other regulatory requirements. These includes PAYE, NSSF, NHIF, NITA, VAT and WHT.
Continuously identify areas of policy and operational improvement in area of operation
Train and assist others within a team environment.
Prepare cash flow projections for all entities in order to optimally manage cash flows while meeting obligations for our stakeholders
Coordinate the internal and external audit of the accounting records and financial statements and implementing all recommendations on timely basis
Assist with Corporate wide accounting
Oversight of the Corporate accounting and Management accounting process to/for the Real Estate
Represent the Company and Real Estate vehicles in legal matters while working with the Legal Department
Any other duties as may be assigned from time to time
REQUIREMENTS
CPA (K) and/or ACCA and Bachelor’s Degree in accounting, finance or related degree
KCSE B+ and above
Three (3) years working experience in a Finance environment
Strong verbal and written communication skills.
Strict deadlines conscious with minimum supervision
Ability to easily adapt to dynamic, complex and rapidly changing finance environment.
Ability to learn and to train team members
Covid-19 vaccination certificate
Apply via :
n.com