Deal of the day

Accountant Job in Kenya

Job Ref.
No.     HRJIC645

Position:          Accountant -Financial
Reporting, Planning & Analysis

Jubilee Insurance was
established in August 1937, as the first locally incorporated Insurance Company
based in Mombasa. Jubilee

Insurance has spread its
sphere of influence throughout the region to become the largest Composite
insurer in East Africa, handling Life, Pensions, General and Medical Insurance.
Today, Jubilee is the number one insurer in East Africa with over 450,000
clients.

Jubilee Insurance has a network of offices in Kenya, Uganda, Tanzania,
Burundi and Mauritius. It is the only ISO certified insurance group listed on
the three East Africa stock exchanges – The Nairobi Securities Exchange (NSE),
Dar es Salaam Stock Exchange and Uganda Securities Exchange. Its regional
offices are highly rated on leadership, quality and risk management and have
been awarded an AA- in Kenya and Uganda, and an A+ in Tanzania. For more
information, visit www.JubileeInsurance.com.

We currently have an
exciting career opportunity for Accountant -Financial Reporting,
Planning & Analysis-Jubilee Life Insurance Limited. 
The
position holder will report to the Finance Manager and
will be based at Head Office in Nairobi.

Role Purpose

Responsibility for
financial reporting, business planning and analysis for Long-Term business,
statutory and regulatory requirements and reconciliation of the general ledger
accounts.

Main Responsibilities

  • Preparing
    timely and accurate presentations to Senior

  • Preparation
    of regulatory returns to the Insurance Regulatory Authority; monthly,
    quarterly, and annual returns while ensuring their timely

  • Assist
    in preparation of Annual

  • Preparation
    of quarterly Group

  • Preparation,
    under CFO guidance, of quality and timely board papers

  • Timely
    payment of the Annuitants and the commission due on annuity premiums

  • Performing
    reconciliations between the finance systems and the business systems for
    accounts assigned.

  • Preparation
    of the GCR reports

  • Preparation
    of annual budgets and forecasts in liaison with the line of business

  • Contribute
    to financial forecasts, financial adjustments, written explanations for
    variances to forecasts, analyzing options to enable budget holders to make
    informed decisions on financial viability together with a financial

  • risk
    analysis, ensuring any financial risks are identified and handled in a
    professional manner

  • Management
    of the asset register

  • Business
    and Market intelligence to provide insights and analysis of key factors
    impacting the business environment and how to strategically position for
    success

  • Risk
    champion – Maintenance of finance related trackers to ensure completion
    and closure of internal and external audit items, compliance with
    regulation and laws, abreast with IFRS

  • Preparation
    of annual budgets and forecasts in liaison with the line of business

  • Any
    other duties as maybe assigned from time to

Key Competencies

  • Visionary
    Entrepreneurial Spirit

  • Treasury
    Solution Awareness

  • Customer
    Focus

  • Continuous
    Innovation

  • Ownership
    & Commitment

  • Team
    Spirit

Qualifications

  • Bachelor’s
    Degree in a Business-Related

  • CPA-K/ACCA
    Qualification

Relevant Experience

  • Minimum
    of five years relevant experience in Treasury. Supervisory experience will
    also be an added advantage.

How To Apply

If you are qualified and
seeking an exciting new challenge, please apply via 
[email protected] quoting the Job
Reference Number and Position by 6th August
2021.

Only shortlisted candidates will be contacted.

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