Vodafone Accounting Jobs in Accra
1. Patiently scroll down and read the job description below.
2. Scroll down and find how to apply or mode of application for this job after the job description.
3. Carefully follow the instructions on how to apply.
4. Always apply for a job by attaching CV with a Cover Letter / Application Letter.
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At Vodafone, we’re working hard to build a better future. A more connected, inclusive and sustainable world. As a dynamic global community, it’s our human spirit, together with technology, that empowers us to achieve this.
We challenge and innovate in order to connect people, businesses, and communities across the world. Delighting our customers and earning their loyalty drives us, and we experiment, learn fast and get it done, together.
With us, you can truly be yourself and belong, share inspiration, embrace new opportunities, thrive, and make a real difference.
Role Purpose
To provide treasury services for Vodafone Ghana and its subsidiaries, ensuring treasury policies are adhered to and minimize risks for Vodafone Ghana and its subsidiaries.
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Technical and Professional Qualifications
- To produce timely and accurate cash reports to management of Vodafone Ghana
- Deliver the highest standards of Treasury services to meet the needs of the Management and staff of Vodafone Ghana in a pleasant, professional, and efficient manner.
- Drive a culture of process improvement, a tight focus on data integrity and excellent service to customers.
- To act as contact from Finance to the business, interfacing with all stakeholders on their cash and bank-related issues
- Ensure compliance with all Group and local Treasury policies
- Prepare weekly, monthly, and quarterly cash flow forecast
- Prepare Daily Cash Report to Group Treasury and Management
- Manage the relationship with partner banks
- Establish best practices for cash management
- Ensure supplier and other payments are made in a timely manner
- Ensure SAP payment files are processed and accounted for in a secure, timely and accurate manner. Performs management of bank reconciliations.
- Ensure Loan principal and interest payments due are paid on time
- To assist in obtaining the best Foreign Exchange (FX) deals
- Reconcile Cash, Bank, Loans, Loan Interest and Exchange difference accounts on the Trial Balance
- Reconcile and explain movements between periods on a monthly basis for the management reports
- Comply with TCM policies and procedures
- Prepares daily cash position reporting, monthly “90 Day” cash forecast reporting and month-end Treasury Reporting.
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1. Patiently scroll down and read the job description below.
2. Scroll down and find how to apply or mode of application for this job after the job description.
3. Carefully follow the instructions on how to apply.
4. Always apply for a job by attaching CV with a Cover Letter / Application Letter.
At Vodafone, we’re working hard to build a better future. A more connected, inclusive and sustainable world. As a dynamic global community, it’s our human spirit, together with technology, that empowers us to achieve this.
We challenge and innovate in order to connect people, businesses, and communities across the world. Delighting our customers and earning their loyalty drives us, and we experiment, learn fast and get it done, together.
With us, you can truly be yourself and belong, share inspiration, embrace new opportunities, thrive, and make a real difference.
Role Purpose
To provide treasury services for Vodafone Ghana and its subsidiaries, ensuring treasury policies are adhered to and minimize risks for Vodafone Ghana and its subsidiaries.
ADVERTISEMENT - CONTINUE READING BELOW
Technical and Professional Qualifications
- To produce timely and accurate cash reports to management of Vodafone Ghana
- Deliver the highest standards of Treasury services to meet the needs of the Management and staff of Vodafone Ghana in a pleasant, professional, and efficient manner.
- Drive a culture of process improvement, a tight focus on data integrity and excellent service to customers.
- To act as contact from Finance to the business, interfacing with all stakeholders on their cash and bank-related issues
- Ensure compliance with all Group and local Treasury policies
- Prepare weekly, monthly, and quarterly cash flow forecast
- Prepare Daily Cash Report to Group Treasury and Management
- Manage the relationship with partner banks
- Establish best practices for cash management
- Ensure supplier and other payments are made in a timely manner
- Ensure SAP payment files are processed and accounted for in a secure, timely and accurate manner. Performs management of bank reconciliations.
- Ensure Loan principal and interest payments due are paid on time
- To assist in obtaining the best Foreign Exchange (FX) deals
- Reconcile Cash, Bank, Loans, Loan Interest and Exchange difference accounts on the Trial Balance
- Reconcile and explain movements between periods on a monthly basis for the management reports
- Comply with TCM policies and procedures
- Prepares daily cash position reporting, monthly “90 Day” cash forecast reporting and month-end Treasury Reporting.
ADVERTISEMENT - CONTINUE READING BELOW
ADVERTISEMENT - CONTINUE BELOW TO APPLY