Job Description:
Reporting Line
• Reporting to Treasury Manager
CORE RESPONSIBILITIES
PAYMENT ACTIVITIES
- Initiate payments in ERP based on approved payment plan and hard copy documents presented for payment
- Prepare bank instructions as appropriate i.e. online payments, TISS or cheques as instructed and according to the requirements
- Assemble relevant supporting documents(payment vouchers, invoices and bank instructions) and present to bank signatories for approval according to signing matrix
- Prepare cheque lists on daily basis and submit to respective banks after approval & circulate scan copies of TISSES to relevant staff for call back confirmation
- Release payments and retain documentation of recipients as per company policy
- Prepare payments report on a daily basis for all payments released (both staff and supplier payments)
- Arrange to pay staff DTV and commissions paid via Ezypesa, within 24 hours of receiving ERP approval notification.
SUPPORT ZANZIBAR TREASURY TEAM
- Receive all documents from ZNZ and assist with their processing.
- Arrange for safe return documents to ZNZ keeping proper records (packing list) of documents dispatched.
SUPPORT DAR CHIEF CASHIER
- Arrange interbank transfer instructions TISS/ Transfer cheques for Chief Cashier to submit to the bank.
SUPPORT ZANZIBAR TREASURY TEAM
- Confirm Superdealer deposits into MFS Trust accounts upon request by MFS Team
HANDLING AND FILING OF DOCUMENTS
- Maintain all documentation of payments in an orderly manner and file them in an easy to retrieve manner.
- Arrange document folders in a systematic manner e.g. names of supplier date received, month etc.
- Keep the assigned desk clean and clear of documentation.
RECONCILIATION ACTIVITIES
- Prepare payments cash books of all assigned bank accounts on a daily basis.
- Ensure that all payments made are accounted for and fully reconciled in ERP.
- Provide bank statements to revenue/receivables team to ensure that all direct bank transfers by customers are appropriately posted and timely.
- Review bank charges and ensure posting to GL on a timely basis.
- Notify the Treasury Manager of any unusual transactions noted in the bank statements
OTHER ACTIVITIES
- Other ad hoc analysis to support the Treasury team and the wider finance group.
Qualifications:
Professional Qualifications and Experience
- High calibre graduate, CPA qualified or part qualified and with relevant at least relevant 1 years work experience
- Rigorous attention to detail
- Strong analytical skills
- Strong working knowledge of ERP and Microsoft applications excel and word
Core Competencies and Skills
- Team player
- High level of commitment to assigned tasks and integrity
- Organised, flexible and customer oriented person who can work within short deadlines
- Capable of working efficiently and effectively with minimum supervision
- Strong interpersonal skills and respectful
- Excellent communication skills
- Strong prioritization and organizational skills
This position is open to people:
Local