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You will be updated with latest job alerts via emailTo ensure accurate and timely processing of financial transactions efficient management of accounts receivable and payable proper reconciliation of key accounts and compliance with statutory and internal financial obligations. The Finance Coordinator supports the Finance Manager in maintaining financial integrity and ensuring the smooth operation of daytoday finance activities.
Key Responsibilities:
Revenue Management & Client Transactions
Create and post monthly sales invoices in accordance with client requirements and deadlines.
Coordinate brokerage fee provisioning in collaboration with the Accounts Payable team.
Vendor Management & Payables
Process internal and external vendor invoices and payments in accordance with approved timelines.
For internal vendors post expenses and payments.
Ensure external vendor payments are processed as per terms and posted.
Monitor invoice issues raised by Operations and ensure they are resolved and reflected in payment advice.
Treasury Management
Maintain daily cheque book register.
Perform weekly and monthly bank reconciliations.
Prepare monthly bank balance analyses and liquidity reports.
Statutory Compliance
Ensure timely remittance of statutory taxes and levies.
Timely filing of tax returns.
Petty Cash and Imprest Management
Realtime posting of petty cash expenses and timely replenishment.
Ensure all disbursements are backed by appropriate approvals and documentation.
Conduct annual cash counts on the last working day of the year.
Documentation & Filing
Maintain a comprehensive and organized document filing system (both hard and soft copies).
Ensure all documents are filed and labeled within 2 days of receipt.
Account Reconciliation & Reporting
Reconcile key accounts (Banks Staff Debtors Creditors and GLs) monthly.
Ensure all reconciling items are booked before management reporting deadlines
Audit & External Relations
Liaise effectively with external auditors and tax consultants.
Provide timely and accurate responses to audit and consultancy inquiries.
Policy Compliance & Support
Adhere strictly to companywide and departmental policies and procedures.
Provide support during Finance Manager and Receivable Officer absences based on handover notes.
Perform any other duties as required by business needs and evolving dynamics.
Qualifications :
Bachelors degree in Accounting Finance or a related field.
Minimum of 35 years experience in a finance or accounting role.
Strong understanding of financial regulations tax laws and accounting principles.
Experience with Oracle NetSuite or similar ERP systems is an advantage.
Proficiency in Microsoft Excel and other financial reporting tools.
ACA ACCA CPA or CFA charter holder is an added advantage
Additional Information :
The remuneration is competitive along with other benefits.
The Deadline for submission is April 11 2025. Interviews are on a rolling basis to this date. Only shortlisted candidates will be contacted.
Further assessments will be required.
Remote Work :
No
Employment Type :
Fulltime
Full-time