KenGen Staff Retirement Benefits Scheme is responsible for providing retirement benefits to permanent and pensionable employees of KenGen PLC. The Scheme is registered with the Retirement Benefits Authority.
Job Purpose
The Accounts Assistant is responsible for providing accounting, financial administration, and reconciliation support to ensure timely processing of financial transactions, maintenance of accurate accounting records, and compliance with applicable financial policies, procedures, and reporting requirements.
The role serves as an entry-level professional position within the Finance function and supports the development of future accounting and finance professionals.
Key Duties and Responsibilities
Financial Transaction Processing
Process payment vouchers and financial transactions in accordance with approved procedures.
Assist in preparation and processing of receipts and banking transactions.
Verify supporting documentation for payments and financial transactions.
Maintain accurate records of financial transactions.
Assist in posting transactions into the accounting system.
Accounts Reconciliation
Prepare bank reconciliations and follow up on outstanding reconciling items.
Assist in reconciliation of general ledger accounts.
Support reconciliation of investment-related financial transactions.
Assist in preparation of creditor and debtor reconciliations.
Investigate and resolve routine reconciliation discrepancies.
Financial Reporting Support
Assist in preparation of monthly, quarterly, and annual financial reports.
Compile accounting schedules and supporting documentation.
Support preparation of statutory and regulatory returns.
Assist in preparation of management reports and financial analysis schedules.
Maintain proper financial records and documentation.
Budget and Audit Support
Assist in compilation of budget information and expenditure monitoring schedules.
Support internal and external audit processes.
Provide financial records and supporting documentation required during audits.
Assist in implementation of audit recommendations.
Compliance and Controls
Ensure compliance with financial policies and procedures.
Maintain proper custody and filing of accounting records.
Support implementation of internal control measures.
Assist in monitoring compliance with statutory and regulatory requirements.
Stakeholder Support
Respond to routine finance-related inquiries.
Support engagement with banks, auditors, service providers, and other stakeholders on routine finance matters.
Other Responsibilities
Perform any other duties as may be assigned by the Financial Accountant.
Key Performance Indicators
Financial Processing: Accuracy of transaction processing, timeliness of payment processing, completeness of supporting documentation.
Reconciliations: Timeliness of reconciliations, number of unreconciled items outstanding.
Reporting: Timeliness of financial schedules and reports, accuracy of financial information submitted.
Compliance: Compliance with financial policies and procedures, audit findings attributable to the role.
Service Delivery: Responsiveness to finance-related requests, quality of support provided to internal stakeholders.
Job Specifications
Academic Qualifications
Bachelor's degree in Accounting, Finance, or another closely related discipline from a recognized university.
Professional Qualifications
Actively pursuing CPA (K)/ACCA or any other recognized accounting or finance professional qualification.