Allterrain Services Zambia LTD
Allterrain Services Group-Zambia, Africa’s leading facilities service provider is looking for dynamic and self-motivated Zambian with proven performance to fill the existing vacant position at Kalumbila project in Zambia as listed below.
PURPOSE
Your Primary operational duty is to support your Project accountant in overseeing your ATS Camp and ensure it meets its operational targets in relation to operational performance targets, revenue, cost control and profitability.
QUALIFICATIONS AND PERSONAL ATTRIBUTES
Minimum of a Diploma in Accounting or equivalent, any experience in accounting is added advantage.
- A good understanding of our business
- A working experience in commercial environment
- Good appreciation of tax and other statutory requirements
- Spreadsheet and Accounting software familiarization
- Demonstrable ability in Admin and Logistics support
- Ability to use vested authority to ensure respect and produce result
- Track record of consistent competence and integrity
- Some experience in a catering or mining environment
- Logical reasoning and problem-solving skills
- Team player, loyalty and sincerity to the business
- Independent worker with little need for supervision
YOUR RESPONSIBILITIES
The Accounts clerk will have the responsibility to assist the Project Accountant in taking accountability for managing the financial matters in the Project; this includes but is not limited to the following areas:
- Checking all sales invoices critically for accuracy, preparing accompanying Vat Sales Invoices, reporting any differences arising thereafter immediately and dispatching invoices to the Project Accountant
- Updating Debtors Balances as and when payment or new sales invoices are raised, and immediately informing the Project Accountant when payments are received.
- Managing the electronic expense claim form and ensuring all petty cash vouchers are completed correctly with needed supporting documents, appropriate signature and approval by all cash recipients and the Camp Manager respectively.
- Conducting random cash count to ensure cash balances shown on expense claims agree at all times with the actual cash on hand. All discrepancies reported to the Project Accountant
- Liaising with materials department at all times to ensure all credit purchase invoices are correct and attached with all necessary SAGE documentations.
- Communicating detailed information on all cheque payments received to the Project Accountant
- Providing all operational information requested through the Project Manager for use by the Finance department.
- Managing all site banking transactions (cash and cheque) and submitting report on them to the Project accountant.
- Conducting random/spot checks on stock in the kitchen, stores, bar and shop, and reporting on findings to the Project Manager.
- Checking abnormal usage of critical materials in all departments to control waste.
- Assisting with daily cash-up and auditing compliance of cash-up procedures.
- Reporting any irregularities in the system with regards to prices, stock discrepancies or suspected pilferage and financial malpractices to the Project Manager.
- Auditing the MATS procedures for compliance by Project Manager and other user departments.
- Maintaining a reliable records management system for all site accounting transactions.
If you are suitably qualified, please email your application letter, and CV with references, to the following email addresses [email protected] The closing date for receiving applications is 18th October 2024. Please note, only shortlisted candidates will be contacted. Include the position title you are applying for in the email subject line