Branch Accountant
Job Description
The specific responsibilities and tasks of a
branch accountant are:
- Managing financial records: The
branch accountant is responsible for maintaining accurate financial
records for the branch. This includes recording all financial
transactions, preparing financial statements, and reconciling accounts.
- Managing accounts payable and
receivable: The branch accountant is responsible for managing the accounts
payable and receivable for the branch. This includes issuing invoices,
processing payments, and ensuring that all payments are received and
recorded accurately.
- Budgeting and forecasting: The
branch accountant is responsible for preparing budgets and forecasts for
the branch. This includes analysing financial data and trends to predict
future financial performance and making recommendations for improving
financial results.
- Financial reporting: The branch
accountant is responsible for preparing financial reports for management
and other stakeholders. This includes analysing financial data and
presenting it in a clear and concise manner.
- Compliance: The branch accountant
is responsible for ensuring that all financial activities comply with
relevant laws, regulations, and company policies. This includes monitoring
financial activities for fraud and ensuring that all financial
transactions are properly documented.
- Liaison with auditors: The branch
accountant may be responsible for liaising with auditors during the annual
audit process. This includes providing financial documents and answering
any questions that the auditors may have.
- Supporting other departments: The
branch accountant may be called upon to support other departments within
the branch or organization. This may include providing financial analysis
or advice to support decision-making, or assisting with other tasks as needed.
Overall, the branch accountant plays a
critical role in managing the financial operations of a branch or division of a
company. They are responsible for ensuring that financial records are accurate,
financial transactions are properly recorded, and financial reports are
prepared promptly and accurately.
How to Apply
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