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Job Description
Daily Bank Reconciliation for all Konga’s Operational Bank accounts.
• Following up with Treasury & AP to ensure daily postings into SAP are done.
• Bank/Transactional Charges monitoring.
• Assisting in other Financial Reporting functions
• Any other task assigned
Duties & Responsibilities
• Daily Bank Reconciliation for all Konga’s Operational Bank accounts.
• Following up with Treasury & AP to ensure daily postings into SAP are done.
• Bank/Transactional Charges monitoring.
• Assisting in other Financial Reporting functions
• Any other task assigned
Skills & Competencies
• Basic Bookkeeping Skills
• Excel proficiency
• Minimum of 1year experience
• Ability to pay attention to details.
Qualifications & Experience
• Bank Reconciliation experience
• Petty Cash handling experience
• B.Sc/HND Accounting OR Economics
Interested and suitably qualified candidates should click here to apply online.
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