Responsible for payments, including claims, , preparation of bank reconciliation, inter-company ledger updates and ledger reconciliation
Requirements
- First degree in business administration, accounting, or related field from a recognised university
- Part-qualification in professional accounting certification (ACCA, ICA, CIMA or equivalent)
- Two (2) to three (3) years’ experience in a similar role.
- Experience in the financial services industry is an advantage
Duties and Responsibilities
- Record all financial transactions for the Schemes into the general ledger
- Manage payments and financial reporting processes including but not limited benefit claims
- Manage interbank transfers for funds placements
- Record bank transactions and prepare monthly reconciliations
- Maintain schedule of service providers and statutory fees, and manage related payments
- Maintain withholding tax schedule, manage statutory payments and filings
- Monitor Scheme Fund control account
- Submit weekly and monthly reports to drive decision making
- Perform any other tasks assigned by supervisor with scope and context of job
Date of Application Closure : 6th September, 2023