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Accounts Assistant

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Job Details

Role Summary

The Accounts Assistant will be responsible for supporting day-to-day accounting operations, including payment processing, cash and bank transactions, accounts payable, statutory compliance, journal entries, reconciliations, and financial record maintenance. The role requires a high level of accuracy, attention to detail, integrity, and the ability to meet deadlines while ensuring compliance with company policies and regulatory requirements.

Key Responsibilities

  • Capture and process payments accurately and within approved timelines.
  • Manage petty cash issuance and capture related accounting entries.
  • Initiate and process banking transfers as authorized.
  • Coordinate bank deposits and cash withdrawals with relevant stakeholders.
  • Follow up and capture Withholding Tax (WHT) certificates.
  • Generate purchase orders in line with procurement procedures.
  • Capture Accounts Payable (AP) invoices into the accounting system.
  • Prepare and process WHT submissions and related payments in compliance with statutory requirements.
  • Capture journal vouchers (JVs).
  • Capture salary-related journal vouchers (JVs).
  • Perform daily settlement reconciliations and investigate variances where necessary.
  • Capture daily cashbook entries, including settlement transactions.
  • Prepare and maintain PAYE and SDL control account reconciliations
  • Support month-end and year-end financial processes as required.

Qualifications & Experience

  • Bachelor’s Degree in Accounting, Finance, or related field
  • Part-qualified or fully qualified (e.g., ACCA, CIMA, CA) is an advantage
  • Minimum 2 years’ experience in a similar role
  • Added advantage - Experience with ERP/accounting systems (e.g., Sage 300, Pastel, SAP or similar)

Responsibilities

  • Capture and process payments accurately and within approved timelines.
  • Manage petty cash issuance and capture related accounting entries.
  • Initiate and process banking transfers as authorized.
  • Coordinate bank deposits and cash withdrawals with relevant stakeholders.
  • Follow up and capture Withholding Tax (WHT) certificates.
  • Generate purchase orders in line with procurement procedures.
  • Capture Accounts Payable (AP) invoices into the accounting system.
  • Prepare and process WHT submissions and related payments in compliance with statutory requirements.
  • Capture journal vouchers (JVs).
  • Capture salary-related journal vouchers (JVs).
  • Perform daily settlement reconciliations and investigate variances where necessary.
  • Capture daily cashbook entries, including settlement transactions.
  • Prepare and maintain PAYE and SDL control account reconciliations
  • Support month-end and year-end financial processes as required.

Skills

  • Accuracy
  • Attention to detail
  • Integrity
  • Ability to meet deadlines
  • Compliance with company policies and regulatory requirements
  • Experience with ERP/accounting systems (e.g., Sage 300, Pastel, SAP or similar)

Qualifications

  • Bachelor’s Degree in Accounting, Finance, or related field
  • Part-qualified or fully qualified (e.g., ACCA, CIMA, CA) is an advantage

How to Apply

Job application procedure

Application Link:Click Here to Apply Now

About the Company
NetOne Information Technology Limited
NetOne Information Technology Limited

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