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Assistant Manager – Finance (Scheme Accountant)

Closing: Oct 3, 2022

4 days remaining

Published: Sep 21, 2022 (8 days ago)

Job Requirements

Education:

Work experience:

Language skills:

Job Summary

Contract Type:

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Academic qualifications

  • A Bachelor’s Degree in Business Administration, Finance or related field from a recognized University.

Professional Qualifications / Membership to professional bodies

  • CPA – K or ACCA finalist

Previous relevant work experience required.

  • At least four (4) years’ of work experience with at least one (1) year at a supervisory role


Responsibilities

Academic qualifications

  • A Bachelor’s Degree in Business Administration, Finance or related field from a recognized University.

Professional Qualifications / Membership to professional bodies

  • CPA – K or ACCA finalist

Previous relevant work experience required.

  • At least four (4) years’ of work experience with at least one (1) year at a supervisory role


  • Working together with the Head of Finance and Investment to formulate the company’s financial strategy and ensure it is properly implemented.
  • Facilitating the formulation and implementation of sound financial and accounting policies, procedures and systems which are compliant with acceptable accounting policies and legal requirements.
  • Preparing budgets and periodic financial performance reports for presentation to the Head of Finance, Investment and Property
  • Supporting the Head of Finance, Investment and Property in developing long term business strategies and operating plans for the Scheme which are in line with the longer term goals and priorities.
  • Supporting the development of departmental budgets in line with overall company mission and objectives.
  • Maintaining controls on spending to ensure budgetary limits are
  • Ensuring that all finances and appropriate financial regulations and controls are in place, properly administered and monitored.
  • Liaising with Internal and External auditors and responding to queries, observations and recommendations
  • Providing operational financial support and guidance to the Head of Finance, Investment and
  • Property on budgeting and financial performance
  • Preparing vouchers, periodic financial reports and interpreting the same to the section head
  • And any o Managing the collection and banking of cash and cheques
  • Reconciliation of clients’ accounts and statements on a monthly basis
  • Checking invoices against supporting documents in preparation for payment
  •  other duties as may be assigned by supervisor


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