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Assistant Accountant at Kimisitu Investment Company Limited - KICL
Kimisitu Investment Company Limited - KICL
September 11, 2026
Full-time
On-site
Job Purpose
The Assistant Accountant provides accounting and administrative support to ensure effective and efficient coordination of financial operations. The role supports accurate financial reporting, cash management, receivables, payment processing, reconciliations, and payroll administration.
Key Responsibilities
Ensure all customer deposits are accurately receipted in the ERP system within 24 hours and issue receipts and statements.
Ensure all cheques and banked funds are reconciled and processed daily.
Prepare daily cash flow reports and submit to the Finance Manager / Company Accountant.
Respond promptly to shareholder and customer account-related queries.
Post supplier invoices into the ERP system and respective ledger accounts upon verification.
Prepare approved payment vouchers and ensure payments are posted with proper authorization.
Follow up and collect outstanding receivables and monitor installment balances.
Perform weekly and monthly reconciliations of bank accounts, cashbooks, creditors, and debtors.
Assist in payroll administration and statutory remittances (PAYE, NHIF/SHIF, NSSF, HELB, Housing Levy).
Academic & Professional Qualifications
Bachelor's degree in Finance, Accounting, Commerce, or related business field.
CPA-K / CPA Section III or ACCA equivalent qualification.
Minimum of 3 years of experience in accounting and financial record-keeping.
Advanced proficiency in ERP systems and MS Excel.
The Assistant Accountant provides accounting and administrative support to ensure effective and efficient coordination of financial operations. The role supports accurate financial reporting, cash management, receivables, payment processing, reconciliations, and payroll administration.
Key Responsibilities
Ensure all customer deposits are accurately receipted in the ERP system within 24 hours and issue receipts and statements.
Ensure all cheques and banked funds are reconciled and processed daily.
Prepare daily cash flow reports and submit to the Finance Manager / Company Accountant.
Respond promptly to shareholder and customer account-related queries.
Post supplier invoices into the ERP system and respective ledger accounts upon verification.
Prepare approved payment vouchers and ensure payments are posted with proper authorization.
Follow up and collect outstanding receivables and monitor installment balances.
Perform weekly and monthly reconciliations of bank accounts, cashbooks, creditors, and debtors.
Assist in payroll administration and statutory remittances (PAYE, NHIF/SHIF, NSSF, HELB, Housing Levy).
Academic & Professional Qualifications
Bachelor's degree in Finance, Accounting, Commerce, or related business field.
CPA-K / CPA Section III or ACCA equivalent qualification.
Minimum of 3 years of experience in accounting and financial record-keeping.
Advanced proficiency in ERP systems and MS Excel.