Mount Kenya University (MKU)
External Examiner - School of Business and Economics
Closed for applications

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Mount Kenya University (MKU)
External Examiner - School of Pure and Applied Sciences
Closed for applications
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AA Kenya , Kakuzi, Mogo Kenya Limited , Mount Kenya University (MKU), Thika Technical Training InstituteProfession
Accounting, finance, banking, insurance,Administrative, clerical,Agriculture, fishing, forestry, wildlife,Business, strategic management,Customer support, client care,Design, arts,Food, nutrition,Human resources,Information technology, software development, data,Mechanical engineering,Sales, marketing, promotion,Teaching, training,Transportation, logistics, driving,
Industry
Seniority
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Thika Technical Training Institute
Education + 1 more
Description
(TTTI/BOG/AI1/13/06/2026)-TTTI JG 6 Minimum Requirements for Appointment
- Bachelor's degree in any of the following disciplines: -Commerce (Accounting/Finance Option), Finance, Economics, Business Administration, Business Management or its equivalent qualification from a recognized institution;
- Part II of Certified Public Accountants (CPA) Examination or its equivalent qualification from a recognized institution;
- Certificate in relevant computer accounting packages; and
- Shown merit and competence in work performance.
Duties and Responsibilities
- Preparing weekly cash flow statements for short-term liquidity forecasts and planning; maintaining imprest registers;
- Ensuring surrenders are on due dates and ensuring that supporting documents are verified and filed;
- Compiling and posting general ledger information and summaries concerning various financial transactions;
- Preparing general ledger journal entries to record cash, revenue, and expense activities proper coding of transaction to the general ledger and closure of ledgers; performing timely month-end closings preparation of entries, analysis and reconciliation of all balance sheet accounts;
- Preparing monthly financial statements; preparing other reports as required; preparing monthly balance sheet reconciliations, adjusting trial balance to include accruals, payments, depreciation and other adjustments and resolve, where possible, any discrepancies that may be found;
- Monitoring accounts receivable; providing financial statements and supporting information, schedules, reconciliations, explanations and other information that may be requested by auditors;
- Checking and verifying expenditure before preparation of payment vouchers, cheques and remittance of payments:
- Carrying out bank reconciliation, selected account reconciliation and cash reconciliation; preparing lead schedules, trial balance and other appropriate schedules as required;
- Carrying out reconciliation of statutory levy records on the basis of invoices. demand letters as well as records made by Compliance Officers; carrying out reconciliation of the assets register with the general ledger;
- Maintaining, storage and security of financial and accounting documents.
Method of Application
Application letter, detailed Curriculum Vitae, photocopies of National Identification Card, professional and academic certificates, transcripts and testimonials, should be Clearly addressed to:
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