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2 weeks ago
Job Expired
Overview of role
To provide assistance in accounting and financial management function of the Fund’s Regional and Head office, assisting with staff Payroll and general accounting, banking and reconciliation duties
Job description
Processes payments for the Regional Office and Head Office and allocates payments to appropriate accounts in the cash book:
- Perform Fund members and Staff payroll, third party payments, monthly allowances to guardians
- Prepare monthly Ledger, accounting Journals and Bank reconciliations for all fund bank accounts
- Checks requisitions and purchase orders for review by the Regional Manager & Administrators prior to authorization. Check and updates all payments of the Regional office/Head office to ensure that they are within the Budget and up to date
- Receive invoices from creditors, prepare payments request, perform monthly creditors reconciliations for accuracy and reports discrepancies to the Secretariat Accountant
- Process Payments for members Lumpsum retirement 1/3 and 2/3, advances, withdrawals, Death and Annuity benefits for both Regional office and Head office. Third Parties payment including BURS, Pension funds and Banks
- Maintains the Regional office asset register and Assets tagging
- Assists in the preparation of both Internal Audits and External Audits
Requirements, Education and Experience
Skills and Competencies
WE ARE STILL MAKING CVs FOR P100. COVER LETTERS FOR P50
Pay with FNB EWallet to 76981238 or Orange Money on number 76981238
Whatsapp us on +26776981238
JOIN US ON OUR WHATSAPP CHANNEL HERE
- Attention to detail
- Customer relations
- Initiative
- Results oriented
- Technical knowledge
- Analytical skills
Qualifications
- Degree in Accounting/AAT
- 3 years Post Qualification experience
- Computer literacy in relation to Accounting packages
Closing date 24th August 2018
CLICK HERE TO APPLY ONLINE
- This job has expired!
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