Mid-level Jobs in Kenya

372 jobs found

Kenindia Assurance Company Limited

Accountant - Reconciliation

Machakos

Kenya

Closed for applications
Kenindia Assurance Company Limited

Branch Manager - Kisii

Kisii

Kenya

Closed for applications
Burn

Assembly Line Engineer

Ruiru

Kenya

Closed for applications
Absa Group Ltd

Asset Based Finance (ABF) Lead Generators (2 Years Renewable Contract.

Nairobi

Kenya

Closed for applications
Equity Bank Kenya

Legal Manager – Security Perfection & Credit Support

Nairobi

Kenya

Closed for applications
Equity Bank Kenya

Card Fraud Forensic Investigator

Nairobi

Kenya

Closed for applications
Kwetu Nairobi, Curio Collection by Hilton

Senior Housekeeping Supervisor

Nairobi

Kenya

Closed for applications
SAFARICOM

Engineer – Transport Support

Nairobi

Kenya

Closed for applications
Rainforest Alliance

M&E Project Manager, Global Supply Chains (Coffee)

Nairobi

Kenya

Closed for applications

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Equity Bank Kenya

Business Banking – Digital Champion(

Nairobi

Kenya

Closed for applications

Country / Region

Profession (Mid-level)

© Fuzu Ltd

Accountant - Reconciliation

Closed for applications
Job details

Contract Type

Description

MINIMUM QUALIFICATIONS - KNOWLEDGE AND EXPERIENCE

  • Bachelor’s degree in Accounting, Finance, or related field
  • Professional certification (CPA, ACCA) is an added advantage
  • 2+ years of experience in accounting or finance,
  • Proficiency in accounting software (e.g., QuickBooks, Sage, SAP)
  • Basic working knowledge of MS Office applications (Excel, Word


Responsibilities
  • Monitor Daily Receipts, monitoring branch accountants banking and receipting reports
  • Review all daily transaction entries to verify the correctness and completeness of the captured data and advise on required actions;
  • Reconciliation and signoff of bank accounts
  • Liaise with internal departments (finance, operations, IT, underwriting and business) to resolve reconciliation issues within allowed TAT
  • Investigate and resolve discrepancies in financial data between internal systems and external parties (e.g. banks, brokers) in a timely manner
  • Maintain accurate records of reconciliation activities and adjustments.
  • Prepare and maintain reconciliation reports and summaries for management review.
  • Escalate unresolved issues and aged reconciling items appropriately.
  • Ensure timely follow-up and clearance of outstanding items in reconciliation
  • Tracing and pursuing long outstanding items


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