Accounting, finance, banking, insurance Jobs

3 jobs found

Deutsche Post DHL Group

Purchase to Pay Specialist

Kampala

Uganda

MMT Alliance

Pricing / Costing Analyst (UN and NGOs Tenders and Contracts)

Nairobi

Kenya

Only on Fuzu
AAVA Brands Limited

Stock Auditor

Abuja

Nigeria

Continental ContainerTerminal

Assistant Manager - Finance

Mukono

Uganda

Closed for applications

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Airflo

Finance Intern (Nairobi)

Nairobi

Kenya

Closed for applications

Country / Region

Seniority (Accounting, finance, banking, insurance, Transportation, logistics, storage)

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Deutsche Post DHL Group

Transportation + 2 more

Purchase to Pay Specialist

Job details

Contract Type

Description

Qualifications

  • Knowledge of DPDHL procurement processes.
  • Good knowledge in local legal requirements.
  • High degree of conceptual and analytical skills.
  • Good initiative and willingness to learn.
  • Excellent communication skills (verbal and written), fluent in English.
  • Overall understanding of the business and the facilities.
  • 2-3 years of experience in related field
  • Must have a bachelor’s degree preferably in Accounting and Finance, CPA or ACCA


Responsibilities
  • Apply the DPDHL procurement processes and policies when procuring required services.
  • Handle all Payable processes, including Invoice Processing, Payments, and Vendor Master data processes.
  • Execute in conjunction with MACC team the strategy for Payable processes and acts as relationship builder across function.
  • Support compliance to policies, procedures, and SOPs for Payable process.
  • Work directly with the service providers to identify improvement opportunities, informs, and escalate, if required, any issue/disputes.
  • Develop and maintain effective working relationships with suppliers.
  • You will contact other teams to resolve master data issues.
  • Prepare full supplier statement reconciliations and resolve the identified reconciling items.
  • Manage allocated supplier accounts to ensure there are no risks, write-offs or unrecovered debit balances in the AP ledger.
  • Ensure bank reconciliations and petty cash reconciliations are performed and reconciliation issues resolved.
  • Manage resolution of journal entry calculation and posting issues, reconciliation issues, month end close, yearend closing related to treasury accounts.
  • Handle and process accurate cash book transaction on a timely basis and assist the Financial Controller with ad hoc tasks.
  • Ensure bank mandate is always kept up to date and establish working relationship with bank managers.
  • Ensure statutory payment such as WHT and VAT are made on time as per local regulatory requirements.
  • Handle the processing of payment of approved Concur claims. Ensuring that all such expenses are booked and reconciled on a timely basis and ensuring that all corporate credit cards, including the travel card, are booked and reconciled on a timely basis.

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