The key responsibilities for this role include but not limited to the following:
- Reconciles all balance sheet accounts monthly, reviews all supplier, customer, wallet and performs intercompany reconciliation;
- Checks that monthly accrual list is correctly computed, allocated and posted to the General Ledger;
- Maintains chart of accounts and general ledger unique to each individual program;
- Clears all general ledger error accounts monthly;
- Reviews and signs off bank reconciliations and general ledger account reconciliations and Identifies daily activity in bank accounts;
- Checks cash availability and daily cash positions and inter account/bank transfers and applies correct computation of foreign exchange gain/loss;
- Enforces cash management policies and compliance with procedures and delivers first time right service excellence;
- Preparation of reports provided to management and financial statements ;
- Conducts daily custody account reconciliations and exceptional reporting, as well as monitors operational finance risk in mobile money, and reports progress and actions required to maintain plans on course;
- Conducts monthly reconciliation of interest accounts and any MTN Mobile Money Limited accounts held with partners;
- Ensures that liabilities, such as taxes and garnishments, are paid timely;
- Documents identified key risks, issues and dependencies and sets mitigation actions, with guidance from the functional lead
Candidate Requirements
- Grade 12 certificate with 5 credit or better of which English and Mathematics are a must;
- Degree in Accounting, Finance, Business Management, or equivalent field;
- Experience of three (3) years in a accounting/reconciliation or allied field is required;
- Experience in Fintech, banking or Telecom is preferred.
Women are strongly encouraged to apply
Hand delivered or posted applications will not be accepted.
Note: that only shortlisted candidates will be contacted.
Submit your CV and Application on Company Website : Click Here
Closing Date : 20th March, 2023.