Accounts Assistant at TakaTaka Solutions

  • Full Time
  • Nairobi

TakaTaka Solutions

JOB SUMMARY

  • The Accounts Assistant-Payables shall ensure the accurate and timely processing of invoices and payments, maintain financial records, and support the finance team in various accounting functions

RESPONSIBILITIES

Invoice and Expense Analysis

  • Analyze invoices, receipts, and expenses for accuracy and eligibility for payment, ensuring that daily invoices are processed within time limits.
  • Ensure petty cash transactions are posted to the correct accounts.
  • Oversee expenditures for compliance with budgets and escalate any discrepancies.

Payment Processing

  • Resolve payment issues with assigned vendors and stakeholders.
  • Process petty cash payments, daily fuel payments, bike top-ups, and monthly airtime payments for staff.

Financial Records Maintenance

  • Maintain accurate financial records and reports in compliance with finance department standards.
  • Track and ensure the accuracy of payment documentation from floats and bank transactions.

Petty Cash Management

  • Effectively manage the petty cash system with daily postings of transactions in QuickBooks.
  • Reconcile QuickBooks balances with the petty cash tracker daily.

Cash Flow Management

  • Update and monitor the daily petty cash tracker.
  • Payment Processing Tasks

Payments:

  • Process budget and exemption payments daily between 10 AM and 12 PM.
  • Prepare and upload buyback payments to the bank portal before 3 PM.
  • Process casual payments and follow up as necessary.
  • Request supplier statements and reconcile when needed.
  • Share payment confirmations with requesting parties.

Document Tracking:

  • Track all payment documentation from floats and bank payments.
  • Maintain a pending supplier documentation tracker, daily budget tracker, daily cash report, and buyback purchase tracker.

QuickBooks Management:

  • Post monthly fuel expenses and all processed payments, including IM Budget Account, IM Exemption Account, VCB Buybacks, and VCB Budget.

VAT Tracking:

  • Update VAT input trackers and ensure supplier VAT compliance.
  • Capture all invoices and ETRs in the VAT tracker for future reference.

Communications:

  • Communicate with key suppliers to adhere to payment terms and perform reconciliations.
  • Follow up on missing documentation with relevant departments.

Compliance:

  • Coordinate with internal and external auditors for scheduled audits and compliance reviews.
  • Ensure timely filing of VAT and statutory deductions.

Fuel Management:

  • Ensure trucks and motorcycles are fueled, preparing consumption reports as needed.
  • Issue and replace fuel cards as necessary.

Supplier Database Maintenance:

  • Maintain an up-to-date supplier database in QuickBooks.

Expense Accounts Updates:

  • Accurately update expense accounts in their correct chart of accounts in QuickBooks.

Reporting:

  • Provide accounts payable metrics for Finance OKR meetings.
  • Prepare weekly cash budgets and reviews, ensuring financial statements are readily available.
  • Share feedback during reporting and provide breakdowns for P&L.
  • Conduct daily cash planning.

Filing System:

  • Maintain an organized filing system for all payment documents for easy retrieval.

Requirements

  • KCSE Grade B- and above
  • Degree/Diploma in Business-related degree.
  • CPA-K

Method of Application

Interested and qualified candidates should forward their CV to: jobs@takatakasolutions.com using the position as subject of email.

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To apply for this job email your details to jobs@takatakasolutions.com