Accounting, finance, banking, insurance Jobs

6 jobs found

KenGen

Accountant - Internship

Nairobi Kenya
Sahara Group Limited

Accounts Payable Officer

Lagos Nigeria
Sahara Group Limited

Finance Officer

Lagos Nigeria
TotalEnergies

Renumeration Executive 2

Lagos Nigeria
Solar Panda

Financial & Data Analyst

Nairobi Kenya
KenGen

Insurance Officer - Internship

Nairobi Kenya
Oilserv Limited

Project Accountant

Port Harcourt Nigeria
Closed for applications
Uganda Electricity Distribution Company Limited (UEDCL)

Senior Accountant – Benefits

Kampala Uganda
Closed for applications
Uganda Electricity Distribution Company Limited (UEDCL)

Senior Accountant – Payments

Kampala Uganda
Closed for applications

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MOGAS

Accounts Assistant

Kampala Uganda
Closed for applications

Country / Region

Seniority (Accounting, finance, banking, insurance, Energy, utilities, environment)

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KenGen

Energy + 2 more

Accountant - Internship

Job details

Contract Type

Description
The job holder is responsible for budget and budgetary control; working capital management; investment of surplus funds; financial reporting; development and implementation of sound accounting and financial management systems; building capacity on financial management; preparation of periodic management accounts and other statutory financial reports.



For appointment to this grade, a candidate must have:

  1. Bachelors degree in any of the following fields: Commerce (Accounting or Finance option), Business Administration (Accounting option) from a recognized institution or any other relevant equivalent qualification;
  2. Must be Prepared to serve anywhere in any of the business areas in Kenya


Responsibilities
  1. Verifying vouchers and committal documents
  2. Preparing periodic reports in a timely manner for decision making
  3. Ensuring safe custody of company records and assets
  4. Analyzing below the line accounts and handling of cashier duties
  5. Reviewing payment documents and complying with relevant tax laws
  6. Writing cheques and posting payments and receipt vouchers in the cash books
  7. Balancing and ruling of the cash books on daily basis
  8. Arranging for withdrawal of cash for office use and ensuring safety of the same at all times
  9. Verifying supporting documents seeking for letters of credit
  10. Extracting documents and information for financial audit purposes and for inclusion in periodic reports for decision making


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