A detail-oriented and dynamic role central to ensuring the smooth flow of financial operations within the manufacturing industry. The position focuses on managing daily cash transactions, reconciling accounts, supporting tax compliance, and ensuring transparency in all financial records.
Key Responsibilities
- Ensure that customer deposits/payments are posted daily.
- Prepare and reconcile banking reports for completeness on a daily basis.
- Investigate, report, and resolve underbanks/overbanks promptly.
- Review goods movement trackers for all branches daily.
- Process inter-branch transfers, clear transit warehouse balances, and flag stock movement issues.
- Review petty cash expenditure schedules daily and post expenses weekly.
- Liaise with auditors and regulatory bodies when required.
- Maintain accurate records and filing systems for financial documentation.
Requirements
- Accounting Degree.
- Accounting Diploma (ACCA/CIMA).
- At least 3 years’ experience in a manufacturing or FMCG environment.
- Strong knowledge of reconciliations, cashbook handling, and tax compliance.
- Experience with ERP/accounting systems (e.g., Openbravo, SAP, or similar).
- Proficiency in Microsoft Excel and other financial reporting tools.
- Exposure to inventory management and cost control processes is an added advantage.
How to Apply
Apply via the following link: HTTPS://WWW.PRORECRUITCONSULTANTS.CO.ZW/JOBS/1443/. No application deadline was specified in the text.