The job holder will be responsible for monthly/quarterly/Annual financial reporting, management of trade debtors and creditors, General Ledger controls & reconciliations, payments verification and
Key Responsibilities
Maintain accurate vendor register
Management of vendor payments
Capture monthly accruals of recurrent expenditure
Ensuring accurate transaction posting, assigning the
Duties and Responsibilities
Monitor the day-to-day financial operations within SAPCONE, such as payroll, invoicing, and other transactions
Oversee financial department employees, including fin
ROLE DESCRIPTION:
The candidate will be responsible for Genesis Analytics’ Nairobi office accounting duties which include but are not limited to; payroll, debtors, payments verification, tax
Job Description
The Accountant is responsible for ensuring that all client funding transactions are reconciled and attributed to the correct funding accounts. The role will communicate reconciled i
Christian Health Association of Kenya is seeking to hire an experienced accountant with expertise in financial management. The accountant will support the Head Office operations through financial mana
Job Description
We are seeking a highly skilled and experienced Group Accountant to join our finance team. The successful candidate will be responsible for managing the financial reporting and acco
The accountant is tasked with :
Processing the expenses in relation with the Embassy’s daily operations ;
Monitoring the Embassy’s supplies ;
Processing the payments and expenses
Purpose / Overview
The Financial Accountant is responsible for processing of accounting transactions, preparation of reconciliation and supporting schedules that provide confidence that the Kenya b
The Opportunity
We are seeking an experienced Income Accountant to join our team. You will be responsible for enhancing the data integrity of income recognition across our global organisation, as w
Accounts Payables
Ensures adequacy of supporting documentation for all documentation forwarded for payment
Timely processing of staff advances for travel and activities.
Processing of suppli
What You'll Do?
Handle Bank reconciliation activities, including posting of payments and reconciliation of general ledger balance to bank statements for Tala Globally.
Support the accounti
Roles and Responsibilities
Responsible for the entry and recording of all accounting transactions
Manage the accounts payable and accounts receivable
Carry out bank reconciliations and prope
Job Purpose
The role is responsible for maintaining proper, accurate, and complete cash and bank records.
The role entails assisting the Treasury Accountant in overseeing the accounting and fi
Key Responsibilities:
Financial Management and Budget Monitoring
Offer financial advice and facilitation of project team to undertake activities
Ensure strict adherence to the approved budg
Key Responsibilities
Check and quantify tax payments due and process accordingly (VAT and WHT),
Conduct and update bank reconciliations (both office and client) are done and updated monthly
Key Roles & Responsibilities;
To accurately register, code and process invoices for payment ensuring that all invoices are approved in accordance with the company delegation of authority lim