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Brisk Credit LTD, Britam, Fred's Ranch, JKUAT Enterprises Ltd, Mogo Kenya LimitedProfession (Entry and Basic-level)
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Industry (Accounting, finance, banking, insurance, Entry and Basic-level)
Agriculture, fishing, forestry,Banking, microfinance, insurance,Energy, utilities, environment,Finance & FinTech,Financial Services,Governmental,Health care, medical,Housekeeping, maintenance,Manufacturing,Non-profit, social work,Real estate,Restaurant, hospitality, travel,Transportation, logistics, storage,
Seniority (Accounting, finance, banking, insurance)
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Kenya Community Support Centre
Non-profit + 1 more
Description
Knowledge and Skills Required:
The job holder must possess;
- Holder of B.com (accounts) degree, CPA Part I and Pursuing Part II and above
- Experience is an added advantage though not a requirement for this position
- Thorough knowledge and understanding of the accounting principles, practices, standards, and laws & regulations
- Thorough working knowledge of quick-books accounting software & databases
Core Competencies
- Effective communication and interpersonal skills
- Proficiency in analyzing and manipulating huge volume of data
- Good interpersonal skills Excellent attention to detail and accuracy
- Ability to meet deadlines
- Strong organizational and time management abilities
- Ethical conduct and integrity in handling financial information
- Continuous learning mindset and adaptability to change
Responsibilities
- Review and verify invoices and supporting documents for accuracy and completeness.
- Prepare payment vouchers and post transactions to journals, ledgers, and other accounting systems.
- Ensure compliance with procurement requirements of the organization.
- To maintain and reconcile cash / financial accounts
- To ensure proper accounting methods, principles and policies are being followed
- To complete and coordinate annual audits and provide recommendations for improving procedures and systems for initiating corrective actions
- Ensure timely processing of payments to vendors, staff, and statutory bodies.
- File statutory returns including VAT, PAYE, NHIF, NSSF, and other relevant taxes in compliance with laws and regulations.
- Assist in payroll processing and related reconciliations to ensure timely and accurate disbursement.
- Support monthly and year-end financial closing processes, including accruals and reconciliations.
- Prepare and update expenditure reports, cash flow forecasts, and daily treasury reports for management decision-making.
- Maintain an accurate and organized filing system for audit readiness and compliance.
- Provide support during internal and external audits by preparing schedules and availing required documentation.
- Participate in budget implementation monitoring by tracking departmental expenditures against budget lines.
- Support the maintenance of the fixed asset register, including tagging, verification, and updating asset movement.
- Assist in identifying financial risks and contribute to the implementation of internal control measures.
- Perform other financial tasks and assignments as and when required which are consistent with the position level in the organization.
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