Accounts Assistant
Key Responsibilities
a) Boya Payment System Monitoring & Reconciliation
- Monitor and coordinate transactions processed through the Boya petty cash/payment system
- Ensure all Boya payments are properly approved in line with company approval procedures
- Verify that all payments processed through Boya are supported with adequate documentation and accountability records
- Perform timely reconciliation of the Boya system balances and transactions against accounting records
- Follow up on pending approvals, unsupported payments, and unreconciled balances within the Boya system
- Ensure all Boya transactions are accurately captured in QuickBooks and properly supported before posting
- Maintain organised records of Boya payment support documents for audit and compliance purposes
- Coordinate with departments and staff to ensure timely submission of expense support documentation and retirement of advances
b) Financial Coordination & Operational Oversight
- Coordinate daily finance operations and ensure the timely execution of finance-related activities
- Ensure no delays in bank, petty cash, and mobile money reconciliations
- Follow up on pending approvals, missing documentation, and outstanding reconciliations
- Coordinate finance-related communication with operations, procurement, project teams, and management
- Monitor transaction flow to ensure completeness and timely recording
- Ensure proper follow-up on staff accountabilities and retirement of advances
c) eTIMS Compliance & Tax Documentation Coordination
- Coordinate eTIMS compliance processes across the organisation
- Ensure all expenses are supported by valid eTIMS documentation where applicable
- Verify supplier tax invoices and compliance documentation
- Monitor completeness and accuracy of VAT support documentation
- Ensure proper filing and organisation of statutory and tax-related records
- Coordinate resolution of invoice discrepancies and missing tax documentation
d) Procurement & Supplier Coordination
- Coordinate procurement documentation and approval processes
- Ensure supplier invoices, quotations, LPOs, and delivery documents are properly matched and filed
- Work closely with procurement and operations teams to ensure financial compliance in purchasing activities
- Maintain updated supplier records and supporting documentation
- Monitor supplier balances and payment follow-ups
- Support cost monitoring and procurement control processes
e) Accounting Systems & Documentation Management
- Review and ensure accurate posting of transactions into QuickBooks or other accounting systems
- Ensure receipts and supporting documents are scanned and uploaded to accounting systems and cloud storage on a timely basis
- Maintain organised digital and physical filing systems for finance documentation
- Ensure completeness of supporting documentation before transaction posting
- Monitor data accuracy and consistency between operational records and accounting records
- Support system clean-up, documentation reviews, and ledger maintenance
f) Reconciliations & Financial Support
- Prepare and review bank reconciliations, petty cash reconciliations, and mobile money reconciliations
- Ensure timely reconciliation of receivables, payables, and staff accounts
- Support monthly and year-end closing activities
- Prepare schedules and supporting documentation for audits and management review
- Assist in the preparation of management reports and financial analysis
- Monitor outstanding items and ensure timely resolution
g) Coordination & Administrative Finance Support
- Coordinate finance documentation flow between departments and external parties
- Follow up on pending approvals, signed documents, and payment processing timelines
- Support project finance tracking and expense accountability
- Ensure proper tracking and storage of contracts, agreements, and financial support documents
- Coordinate audit requests and retrieval of supporting records
- Support implementation of finance process improvements and operational controls