Staff Accountant I
| Location | Herare, Zimbabwe |
| Date Posted | December 29, 2019 |
| Category |
Accounting
|
| Job Type |
Full-time
|
| Currency | ZWD |
Description
REPORTING TO BOOKKEEPER SUPERVISOR
Main Purpose of job:
- To maintain the financial records of allocated Pension Funds, make investments and prepare relevant financial information.
Main Responsibilities
1. Payments and Receipts
- Process daily payments and ensure that they are properly recorded before they are forwarded to the banks.
- Analyze daily cash positions for allocated Pension Funds.
- Capture cheques and deposits on Arms & Ability and posts all transactions.
- Banks pension contributions for pension funds under portfolio on receipt.
- Monitors pension fund movements and invests all excess funds in any account immediately.
- Constantly checks bank balances for all pension funds and portfolio and takes requisite measures.
2. Reconciliation of Pension Funds Investments
- Captures investment schedules on Arms & Ability and calculate interest on investment schedules.
- Calculate profit or loss on sale of investments
- Reconciles the ledger and the Investment Managers valuation reports to indicate investments made on behalf of each pension fund.
3. Preparation of Financial Statements
- Prepares financial statements on a monthly basis for each pension fund under his/her portfolio, reflecting movement of funds
- Prepares financial statements for inclusion into Trustees packages and for use during meetings and financial year end reports
- Prepares accounts from Trial Balance as per stipulated format (PPFR)
- Prepares all the necessary schedules to support the figures in the Accounts
- Prepare bank reconciliation statements for allocated pension funds
- Prints the requisite bank reconciliation and statements
- Ensures that year-end accounts are done and audited within four months after the year end
- Submits information required for Trustee packages to the Administration department 10 days before the Trustee meeting
4. Preparation of Reserve Accounts and Ledger Accounts
- Using financial statements for Trustee meetings, prepares the Reserve Accounts showing the liabilities of the Pension Fund based on the last Actuarial Review
- Ensures that accounts are submitted timeously
5. Any Other Duties
- Performs any other duties as directed from time to time by the Senior Bookkeeper.