Position DescriptionRTI is seeking an experienced Accountant for the USAID WKSP project. The Accountant will be responsible for overseeing the day-to-day operations of the finance department, reporting directly to the Finance Specialist.Responsibilities include, but are not limited to:Support the finance team in establishing and maintaining effective systems for timely and cost-effective disburse...
Work Location: Kiambu Kenya About the Company Our client is an audit firm located in Kiambu. Roles and Responsibilities ? Manages and controls petty cash transactions, ensuring accurate recordkeeping and adherence to policies and procedures. Regularly audits petty cash transactions for compliance and accuracy. ? Ensures accurate processing and recordkeeping of all bank deposits and other transact...
Introduction: We are looking for a passionate and hardworking Accountant to join our team. Qualifications: Bachelor's Degree in Accounting/Finance ICPAK Member Hands-on experience in computerized accounting softwares, preferably QuickBooks online. At least 4 years working experience in a busy computerized environment. Experience in preparation of Monthly, quarterly and annual financial reports. E...
Record daily financial transactions in the general ledger.Maintain accurate and up-to-date financial records.Process invoices, verify accuracy, and ensure timely payments.Assist in the collection of accounts receivable.Reconcile bank statements to ensure accuracy of financial data.Investigate and resolve any discrepancies.Monitor and categorize company expenses.Assist in the preparation of financ...
Manage accounting transactions, including but not limited to posting vendor bills accurately and share vendor statements Prepare and send invoices to partners in a timely manner. Conduct monthly reconciliations for bank accounts and MPESA paybill transactions. Responsible for managing petty cash, which includes making payments, recording expenses, and processing reimbursements. Facilitate Staff s...
Roles and Responsibilities: Maintainaccurate and up-to-date financial records, including accounts payable, accounts receivable, general ledger entries, and expensereports.Ensureall financial transactions are properly documented and classifiedManageaccounts payable processes, including invoice verification, payment processing andvendor communicationOverseeaccounts receivable to ensure timely billi...