Zambia Applications have closed
We’re looking for a detail-oriented individual to become part of the Finance Banking Team in Zambia.
Conduct monthly reconciliations for all bank accounts, as assigned by the Manager.
Match cash deposits on point of sale and credit card declarations to bank statements.
Follow up with stores and the bank on any discrepancies.
Maintain positive and professional relationships with stores and the bank.
Prepare and maintain petty cash sheets.
Import the banking files into Sage daily.
Prepare invoices for catering orders.
Order stationery for new stores.
Other ad hoc duties as required
Bank reconciliation experience
Google sheets experience
Intermediate Excel skills
SAGE experience advantageous
If this sounds like you, send us your CV.