13 Mar 2024

Finance Administrator at KEMCORE

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Job Description


Company Description

Kemcore is a leading logistics and manufacturing company, a global supplier of high-quality industrial and mining chemicals. Based in Ndola, Zambia, we pride ourselves on offering a comprehensive, low-risk, single-source logistical supply of products.

Role Description

This is a full-time on-site role for a Finance Administrator. The Finance Administrator will be responsible for day-to-day financial planning and analysis, including preparing financial reports, performing account reconciliations, and ensuring compliance with financial regulations. They must also have excellent analytical and communication skills to provide support to other departments as needed.

Key Responsibilities;

Creditors

  • Reconcile the weighbridge report with invoices from suppliers.
  • Post all purchase/service invoices into the system.
  • Reconcile creditors accounts and match with client statements.
  • Prepare schedule for vat and excise duty.
  • And any other duties assigned by the Supervisor.
  • Generate purchase orders based on the requisition received from stores
  • Ensure all POD’s and invoices are saved on the server for all cost of sales transactions.
  • Sign off all creditor reconciliations.
  • Provide a listing of invoices where a statement cannot be obtained.
  • Submit creditor remittance’s timeously to the supplier.
  • Prepare schedule for vat and excise duty and reconcile to the ZRA submission and to Pastel Accounting.
  • Initiate the payment on Smart Pay for VAT payments when due.

Bank accounts, operating accounts and cash floats.

  • Processing of the operating accounts, prepare month end bank reconciliations.
  • Processing of the bank cash float accounts.
  • Sign off the listings for all unreconciled items that match the amount on Pastel accounting.
  • Prepare Quotations and/or Pro Forma Invoices when requested to do so by Supply Chain.

Payroll

  • Prepare total month end schedules that reconcile to the Pastel Payroll periodic reports.
  • Prepare a Gypsum payroll reconciliation that reconciles to the Gypsum periodic reports.
  • Reconciling salary clearing account in the balance sheet.
  • Prepare all csv files for all statutory returns that are due
  • Initiate the payment on Smart Pay for VAT payments when due.

Inter-company Transactions

  • Provide debit notes to all subsidiaries when required and process all debit notes received from the subsidiaries.

Qualifications

  • Financial Planning and Accounting skills
  • Analytical Skills
  • Excellent communication skills
  • Experience in Finance and Accounting
  • Diploma in Accountancy or ZICA Technician
  • ZICA Membership
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Method of Application

To apply for this job email your details to [email protected]

Closing Date : 25th March, 2024.





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