Treasury Officer

Closed for applications
Job details

Contract Type

Description

Qualifications:

  • Minimum of 1 -2 years’ experience in a similar role is a busy commercial environment
  • Knowledge of accounting processes and procedures
  • Computer literate especially accounting system (Navision)
  • Interpersonal skills
  • Reporting skills
  • Booking skills
Responsibilities

Supplier Payments

  • Ensure timely processing of supplier Payments, statutory payments and other payments as per payment schedules
  • Ensure that all payments are adequately supported with the relevant documentation i.e. invoices, GRN, LPO, GDN, etc
  • Ensuring that suppliers are notified whenever payments have been fully authorised in the bank
  • Ensure proper filling of all payments in an orderly manner

Bank, Momo and Airtel pay reconciliation

  • Prepare daily and monthly bank reconciliations for all Bank accounts, Momo and Airtel money.
  • The reconciliations should be done by 2nd of the following month
  • Capture and post all bank charges on a daily basis

Petty Cash Monitoring and Management

  • Capture all branch petty cash expenses plus accountabilities for business advance
  • Process all petty cash requisitions for head office, branches and farms plus any other locations.
  • Reconciliation of all petty cash floats in the Company and ensure that all petty cash payments have been approved and adequately supported with genuine supporting documents.
  • Carry out Periodic and surprise petty cash counts.

Loans management

  • Prepare and submit loan amortisation schedules and loan journals for review on a monthly basis.
  • Prepare and submit loan draw down requests and loan repayments requests.
  • Prepare and submit shareholder loan schedules for review on a monthly basis.
  • Ensuring that all loans and daily transactions are recorded correctly as per the appropriate standards.
  • Ensure that all loan covenants are adhered too to reduce the risks of penalties on none compliance.

Cashflow management

  • Prepare and submit cashflow forecasts on a weekly basis and quarterly basis.

Other Duties

  • Compile the daily forex exchange rates report and submit to the Finance Manager
  • Update the exchange rates on a monthly basis in Navision after review and approval of the rates from the Finance Manager
  • Populate information in the Cashflow model with guidance from the finance manager
  • Perform month end reconciliations for all treasury related accounts in the General Ledger

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