Job Description
Key Responsibilities A. Financial Transaction Management
- Review and verify all financial documents (payment vouchers, receipt vouchers, debit/credit notes, purchase orders) before entry into the accounting system.
- Check for duplicate payments and ensure correctness and completeness of all financial transactions.
- Oversee primary data capture in Serenic accounting system (payments, receipts, payroll) and prepare for FC review and posting.
- B. Bank and Cash Reconciliation
- Ensure bank and cash balances are reconciled with system records.
- Prepare and maintain reconciliation reports, reviewed and signed off by the Financial Controller and Park Manager.C. Fixed Assets and Inventory Control
- Conduct annual physical verification of fixed assets to confirm location and condition.
- Ensure depreciation is accurately calculated and recorded in line with APN policy.
- D. Audit Preparation...
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Submit ApplicationJob Details
- Location Mozambique, Mozambique
- Job Type fulltime
- Category Financial Specialists
- Posted Date March 01, 2026
- Application Deadline April 10, 2026