Financial Services

Financial Accountant At Mga Schools

MGA Schools·Nairobi, kenya·Full Time·Onsite
Financial ServicesFull TimeOnsite
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REQUIREMENTS:

  • Bachelor's Degree in Finance, Accounting, Business Administration, or related fields.
  • CPA (K) Qualification required (or ACCA equivalent)
  • At least 3+ years of experience in Accounting/Finance (preferably in a school)
  • Ability to handle both Accounts Payable & Receivables.
  • Strong understanding of Kenyan statutory compliance and financial regulation

Key skills

BA/BSc/HNDProfessional Certificate

At a glance

Company

MGA Schools

Location

Nairobi, kenya

Employment

Full Time

Experience

Valid until

Not specified

Created

August 6, 2026

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Audit Coordination and Assurance Coordinate finance-related internal and external audit activities. Prepare audit schedules, reconciliations, and supporting documentation. Serve as the primary point of contact for finance audit requests. Track implementation of audit recommendations and management actions. Support institutional assurance processes and compliance reviews. Statutory and Regulatory Compliance Coordinate preparation and submission of statutory returns. Ensure compliance with tax obligations and regulatory requirements. Monitor changes in legislation and regulatory requirements affecting the Foundation. Liaise with tax authorities, regulators and statutory bodies as required. Support implementation of tax compliance and governance frameworks. Financial Operations and Transaction Management Oversee accounts payable and accounts receivable processes. Review payment requests for completeness, accuracy and compliance. Monitor vendor payments and statutory remittances. Support payroll finance review and reconciliation processes. Ensure timely and accurate transaction processing. Monitor outstanding receivables and operational finance risks. Process Improvement and Operational Effectiveness Support continuous improvement of finance operations. Contribute to development and implementation of finance SOPs. Identify opportunities to strengthen controls and operational efficiency. Support automation of routine finance processes where appropriate. Stakeholder Support Provide technical accounting and compliance support to internal stakeholders. Support budget holders and departments on operational finance matters. Respond to finance-related queries from internal and external stakeholders. PERSON SPECIFICATIONS Academic Qualifications Bachelor’s degree in finance, Accounting, Economics, Statistics, Information Systems or related field. Professional Qualifications CPA(K), ACCA or equivalent professional accounting qualification. Membership in a recognised professional accounting body. Experience Minimum seven (7) years relevant professional experience. Experience in financial accounting and reporting. Experience coordinating audits and statutory reporting. Experience managing financial operations and compliance processes. Experience in donor-funded, grant-making or international development environments is desirable. Experience using ERP systems and financial management systems. Knowledge, Skills and Attributes Strong financial accounting and reporting skills. Strong understanding of internal controls and compliance frameworks. Knowledge of tax and statutory compliance requirements. Strong reconciliation and analytical skills. Attention to detail and accuracy. Strong planning and organisational capability. Ability to prioritise and meet deadlines. Strong communication and stakeholder management skills. High level of integrity and accountability. Strong problem-solving capability. Leadership Competencies Technical leadership. Accountability and ownership. Quality orientation. Team collaboration. Coaching and mentoring. Continuous improvement mindset. Senior Financial Accountant – Treasury, Reporting & Systems JOB PURPOSE The Senior Financial Accountant – Treasury, Reporting & Systems is responsible for treasury management, financial planning and forecasting, management reporting, finance systems administration, reporting automation, data analytics and finance process management. The role supports the Foundation’s financial sustainability by ensuring effective liquidity management, high-quality financial reporting, reliable finance systems and efficient finance processes that provide management with timely and actionable financial information. SFA Foundation is committed to fostering a culture grounded in Respect, Accountability, Diversity, Equity & Inclusion (DE&I), and Excellence. We seek individuals who embody these values in their work and interactions. PRINCIPAL DUTIES AND RESPONSIBILITIES Treasury Management Manage day-to-day treasury operations and liquidity monitoring. Monitor cash balances and funding requirements. Coordinate banking relationships and banking operations. Support investment administration and treasury reporting. Monitor cash flow risks and recommend mitigation actions. Ensure effective cash management practices across the Foundation. Financial Planning and Forecasting Prepare cash flow forecasts and liquidity projections. Support organisational forecasting and scenario analysis. Monitor financial performance trends and emerging risks. Support financial sustainability planning initiatives. Provide analytical support for financial decision-making. Management Reporting Coordinate preparation of monthly, quarterly, and annual management reports. Develop executive dashboards and financial performance reports. Produce financial analysis and trend reports for management. Support reporting requirements for EXCO, FRA Committee, and Board. Improve quality, consistency, and timeliness of financial information. Finance Systems Management Coordinate administration of finance systems and reporting tools. Support ERP configuration and finance system enhancements. Coordinate testing and implementation of finance system improvements. Support integration of finance systems with organisational platforms. Ensure finance data integrity and reporting reliability. Process Management and SOP Development Support development, implementation, and maintenance of finance SOPs. Review finance workflows and recommend improvements. Strengthen process documentation and knowledge management. Support implementation of process standardisation initiatives. Reporting Automation and Analytics Lead automation of recurring finance reports. Develop dashboards and analytical reporting tools. Support AI-assisted finance reporting and analytics initiatives. Strengthen management visibility through improved reporting solutions. Promote data-driven decision-making across the Foundation. Stakeholder Support Provide reporting and analytical support to management and departments. Support users of finance systems and reporting tools. Provide technical guidance on financial reporting and system-related matters. Budget Planning and Performance Management Coordinate the annual budgeting and planning process. Support development and consolidation of operational budgets. Prepare budget performance reports and variance analysis. Coordinate forecasting and reforecasting exercises. Support financial modelling and scenario planning. Monitor affordability, sustainability and budget utilisation trends. Provide budget insights to support management decision-making. PERSON SPECIFICATIONS Academic Qualifications Bachelor’s degree in Finance, Accounting, Economics, Statistics, Information Systems or a related field. Professional Qualifications CPA(K), ACCA or equivalent professional accounting qualification. Membership in a recognised professional accounting body. Experience Minimum seven (7) years relevant professional experience. Experience in treasury management and financial planning. Experience preparing management reports and financial analysis. Experience supporting ERP systems and financial reporting tools. Experience in dashboard reporting, business intelligence or reporting automation is desirable. Experience within donor-funded or international development organisations is an added advantage.. Knowledge, Skills and Attributes Strong financial planning and analytical skills. Strong treasury and cash flow management capability. Excellent financial reporting skills. Strong systems and technology orientation. Advanced Excel and financial modelling skills. Experience with reporting and visualisation tools. Strong problem-solving and analytical capability. Excellent communication and presentation skills. Ability to manage multiple priorities and deadlines. Continuous improvement and innovation mindset. Leadership Competencies Systems thinking. Analytical leadership. Innovation and continuous improvement. Stakeholder engagement. Collaboration and teamwork. Results orientation. Don't Keep Share!: WhatsApp Tweet

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