Accounting, finance, banking, insurance Jobs for Mid-level in Africa

96 jobs found

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Finance Officer

Adjumani Uganda
Closed for applications
Central Bank of Kenya

Manager, Banking Services (Manager 2) - Mombasa

Mombasa Kenya
Closed for applications
Central Bank of Kenya

Manager, Banking Services (Manager 2) - Eldoret

Eldoret Kenya
Closed for applications
Central Bank of Kenya

Manager, Banking Services (Manager 2) - Head Office

Nairobi Kenya
Closed for applications
Central Bank of Kenya

Manager, Banking Services (Manager 2) - Meru

Meru Kenya
Closed for applications
Ascentech Services Limited

Junior Accountatnt - Agbara

Abeokuta Nigeria
Closed for applications
DHL Kenya

Billing and Financial Specialist

Nairobi Kenya
Closed for applications
Wema Bank Plc

Product Manager – Workplace Banking

Lagos Nigeria
Closed for applications
PATH

Finance Manager, Nigeria Country Program

Abuja Nigeria
Closed for applications

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A Multinational Finance Shared Services Center

Open Application: General Ledger Specialist (Intercompany)

Nairobi Kenya
Closed for applicationsOnly on Fuzu

Country / Region

Seniority (Accounting, finance, banking, insurance)

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Non-profit + 1 more

Finance Officer

Closed for applications
Job details

Contract Type

Description

Qualifications Required

  • Bachelor’s degree in finance, accounting, business administration, or related field.
  • 4 years’ experience in accounting, grants, and budgeting.
  • Experience preparing financial reports and supporting donor-funded projects.
  • Experience with partner financial monitoring (asset).
  • Strong Proficiency in MS Excel, Word, PowerPoint.
  • Strong bookkeeping and documentation discipline.
  • Familiarity with accounting software (preferably Microsoft 365)
  • Fluency in written and spoken English and relevant local language(s). French is required in francophone contexts.


Responsibilities

Implement Financial Accounting & Reporting Processes (45%)

  • Execute project and Country Office accounting tasks, including timely month-end close, accurate bank and cash reconciliations, coding verification, and preparation of financial reports. Maintain complete filing systems, review expenditures for accuracy and compliance, assist with audit preparation, and support partner expenditure reviews and monthly budget pipelines.

Support Cash & Treasury Management (20%)

  • Prepare cash reconciliations; monitor petty cash balances; follow up on staff and partner advances; and ensure timely processing of routine banking transactions in compliance with financial controls.

Provide Financial Support to Programs (15%)

  • Work closely with project and program staff to support budgeting, financial monitoring, and preparation of donor financial reports. Ensure field-level understanding of compliance requirements.

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