Key Responsibilities
Prepare and maintain accurate financial records and books of accounts.
Process invoices, payments, receipts, and expense claims in a timely manner.
Prepare monthly, quarterly, and annual financial reports.
Manage cash flow, budgets, and financial forecasts.
Reconcile bank statements and supplier accounts.
Ensure compliance with tax and statutory requirements, including PAYE, VAT, NSSF, and NHIF.
Support internal and external audits and liaise with auditors as required.
Monitor company expenditures and implement cost-control measures.
Assist management with financial analysis and decision-making support.
Qualifications & Requirements
Diploma or Degree in Finance, Accounting, or a related field.
CPA (K) or ACCA qualification is an added advantage.
Minimum of 2–3 years relevant working experience.
Good knowledge of accounting software such as QuickBooks, Sage, and Excel.
Strong analytical, reporting, and problem-solving skills.
High level of integrity with strong attention to detail.
Key Skills & Competencies
Financial reporting
Budgeting and forecasting
Tax compliance
Accurate record keeping
Strong communication skills
Teamwork and collaboration
Company Benefits
Competitive salary package
Statutory benefits (NSSF, NHIF, PAYE)
Paid annual leave
Performance-based bonuses (where applicable)
Career growth and training opportunities
Supportive and professional work environment