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  • Posted: Jan 4, 2018
    Deadline: Not specified
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    MISSION ZanaAfrica Foundation supports adolescent girls in Kenya to stay in school by delivering reproductive health education and sanitary pads. VISION We envision a world where girls in East Africa live healthy, safe, educated lives while defining their own purpose-a world in which menstrual health management is recognized as a human right, and t...
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    Finance & Operations Associate

    Position Summary

    The Finance Associate is responsible for organizing and coordinating office and finance operations and procedures in order to ensure organizational effectiveness and efficiency.

    Supports operations by; planning, organizing, and implementing administrative systems.

    General accounting and financial reporting duties are also encompassed in this position.

    Description of Duties

    • General Operations and Finance
      • Communicate (both in verbal and written form) with clients, client suppliers, vendors, and other contacts
      • Ensure completeness, accuracy, and timeliness in the processing of various teams’ operations requests
      • Act as first line of responses to inquiries at ZanaAfrica’s office, website, email and phone enquiries
      • Monitor and conduct office operations including typing, filing and maintaining the record system for soft- and hard-copy files
      • Assists with the set-up, maintenance and filing of office policies and procedures _HR Registry
      • Update internal operation procedures document as needed.
      • Purchase supplies and equipment as authorized
      • Monitor office supply levels and reorder as necessary with project and program teams
      • Maintain historical records by accurately filing receipts, financial documents, lease agreements and donor agreements
      • Preparation of monthly bank reconciliations and filing of NHIF and NSSF on a monthly basis
    • Finance and Accounts
      • Co-Develop system to account for financial transactions by establishing reconciliation templates and per diem rates
      • Processing supplier payments, ensuring supporting documents are in order and approvals obtained
      • Balances general ledger by preparing the trial balance; monthly reconciliation of all petty cash
      • Conduct periodic reconciliations of all petty cash accounts to ensure accuracy and effectiveness
      • Reviewing petty cash and cash advance reconciliations ensuring that all payments have valid supporting documents
      • Prepare financial reports by collecting, analyzing, and summarizing account information and trends
      • Issue financial statements as needed to the FM and Maintain an orderly accounting filing system
      • Tracing all mobile money receipts to the Lipa-na-Mpesa Statement and Ensuring that all Lipa-na-Mpesa withdrawals have been fully accounted for and posted into quickbooks
      • Review all debits in the bank statements to ensure that they have been captured and balance
      • Verifying all payment vouchers for accuracy and completeness before processing and posting into the accounting System - QuickBooks
      • Ensure proper documentation of all payments to staff and generate monthly pay slips
      • Manage accounts payable and manage accounts receivable including Prepare weekly financial reports
      • Review for compliance with donor and organizational policies/guidelines on all payments
      • Assists in quotation sourcing for various procurement items as and when required for different teams
      • Provide financial and compliance guidelines to other members of staff
      • Other duties as assigned by senior management through the FM
      • Data entry and maintenance of disbursements and distribution records of the product
      • Assisting in managing correspondence between the sales team and their clients
      • Manage the warehouse stock inventory and coordinate storage space maintenance with office assistant
      • Works with the Product Development team for asset and inventory management at both office, stock points and warehouse
      • Maintain clear and accurate operations documents/procedures for reference purpose
      • Take lead in regular stock taking and updating of the Inventory records
    • Decision Making
      • For routine decision making to be guided by generally accepted accounting principles and organization rules
      • and regulations. Refer to COO on issues out of normal policies and procedures.
      • Responsibility over data or information:
      • Has access to important and highly confidential information. (Ensure to sign our Non-Disclaimer and Confidential Policies)

    REQUIRED QUALIFICATIONS

    Professional qualifications

    CPAIII /ACCA III qualifications, CPAIII and Degree in Finance, Accounting, or closely related field is PREFFERED.

    Relevant Experience and Key skills:

    • Experience in managing Not for Profit Accounts
    • At least 3 years of experience performing responsibilities required for the position and demonstrating progress in the role.
    • Audit experience and managing of grant funds is desirable
    • Experience in the use of the QuickBooks Accounting Software.

    Method of Application

    Interested candidates should send resume to careers@zanaafrica.com

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