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Job description:
Job title: Officer Receivables
Site: Kansanshi Mining Plc
Department: Finance
Section: Accounts Receivables
Position reports to: Senior Financial Accountant
Grade: 13
Direct reports: Senior Financial Accountant
Purpose
To reconcile and pay all local and foreign suppliers for goods delivered and service rendered to
the company on time in a month as well as carry out other clerical work under the Finance Department.
Key Responsibilities
INTERCOMPANY TRADE
Maintenance of netting accounts and correspondence
Run and dispatch of customers statements for intercompany AR/AP
Intercompany reconciliation including quarterly Intercompany reconciliation via Reconciliation tools.
Continuous process improvement within Intercompany issues (root cause analysis and action about missing or wrong coding on intercompany invoices follow up on missing and wrong coding)
Assisting Group Accounting with the Intercompany improvement project
Prepares monthly allocation of service company activity, conducts analysis of trends and uses professional judgment to settle variances.
Authorizes the initiation of monthly data jobs to support the allocation process.
Maintains allocation tables, update as necessary and analyse outputs to support the monthly closing procedures.
Performs complex analytical assignments and prepares accounting related reports
Provides expertise on processes or issues to the assigned team and work stream
Strong knowledge of GAAP, especially around revenue recognition rules required Initiative and organizational skills are a must to ensure the timely completion of a large volume of work.
Reconciliation of GL balances on intercompany accounts to the source systems
Cost Centre analysis support
Check and explain account balances, outstanding items and confirm all posted and ready for payment open items
Prepare and initiate payment run for all intercompany transactions in accordance
Accounts Receivables
Maintain up-to-date billing system.
Monitor customer account details for non-payments, delayed payments, and other irregularities.
Research and resolve payment discrepancies.
Generate age analysis.
Review AR aging to ensure compliance
Maintain accounts receivable customer files and records.
Follow established procedures for processing receipts and cash.
Process credit card payments.
Investigate and resolve customer queries, Process adjustments.
Assist with month-end closing.
Collect data and prepare monthly metric
Supervise staff below
Accounts Payables
The holder of this position will be required to adhere to all relevant requirements, policies, procedures and legal regulations pertaining to health, safety, environment and quality, as well as finance, human resources, and any other regulations as required by the company and relevant to the level of the role and responsibilities of the function.
Reconcile Supplier Accounts on monthly basis before payment is prepared
Processes supplier invoices on time without errors after invoices have been received and receipted by ware house
Investigate the outstanding invoices with price and quantity variances on the suppliers’ reconciliation for processing and payments
Ensure that all invoices on retentions are approved before the payment run is prepared
Ensure that suppliers are paid on time for the deliveries made in a particular month
Ensure that remittance advices are sent to the suppliers after payments have been posted to the Bank.
Ensure that all payment documents are filed after payments have been transmitted to the Bank.
Ensure that all payment documents are filed after payments have been transmitted to the Bank.
Ensure that all Accounts Payable correspondence are filed
Ensure that communication to the supplier is on email.
Perform any other reasonable task as directed by immediate Supervisor
All academic qualifications and results must be verified by the Zambia Qualifications Authority (ZAQA).
Qualifications
Minimum of a Grade 12 School Certificate or its equivalent
ACCA Level 1,ZICA, Certificate in Accounts & Business Studies
Behavioural Traits
Operational Requirements
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