Accountant

Sotik Group


Job Location:

Bomet - Kenya

Monthly Salary: KES 45000 - 50000
Experience Required: 5years
Posted on: 2 days ago
Vacancies: 1 Vacancy

Job Summary

Job Title: Accountant

Key Responsibilities:

1. Accurately post supplier and contractor invoices into the accounting system.

2. Prepare monthly supplier account reconciliation and follow up on any discrepancies to ensure timely resolution.

3. Update and maintain bank book entries for accurate and timely posting.

4. Prepare and book journal entries in accordance with accounting procedures.

5. Support the processing of labour and out-grower payrolls.

6. Assist in the preparation and filing of tax and statutory returns in compliance with regulatory requirements.

7. Compile and maintain Capital Expenditure (CAPEX) files and records.

8. Initiate and process payments through cheques or online banking platforms.

9. Ensure proper filing archiving and retrieval of accounting and financial documents.

10.Perform any other accounting or administrative duties as may be assigned from time to time.



Requirements

A Diploma or Bachelors degree in Finance Accounting or a related field.

CPA Part II or higher.

Minimum of 2 years relevant work experience preferably in a manufacturing environment.

Proficiency in accounting software and MS Office Suite

Strong attention to detail accuracy and organizational skills.

Good interpersonal and communication skills.





Required Skills:

Qualification & Experience Required: 1. At least five (5) years relevant post admission experience in the public or private sector 2. Bachelors of Laws (LL.B) from a recognized institution 3. Post-graduate Diploma in Law 4. Advocate of the High Court of Kenya 5. Valid Advocates practicing certificate 6. Member of the Law Society of Kenya in good standing 7. Certified Secretary (CS) will be an added advantage 8. Proficiency in Computer Applications

Job Title: AccountantKey Responsibilities:1. Accurately post supplier and contractor invoices into the accounting system.2. Prepare monthly supplier account reconciliation and follow up on any discrepancies to ensure timely resolution.3. Update and maintain bank book entries for accurate an...