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Honey Care Africa has a rich history as a pioneer of both the honey industry in Africa and enterprise in general. We have an exciting future as we lead Africa into the global honey and healthy snacks market. Honey care’s purpose is pervasive in everything we do
Key Responsibilities
Carry out full business requirements discovery that includes interviewing relevant stakeholders and end-users.
Collect, classify, analyze and document business data/ requirements as per set standards.
Create high-level solution designs to meet business requirements by exploiting the functionality available in the systems already in HCA, or by filling missing gaps with appropriate new systems, in accordance with enterprise architecture
Collaboratively develop test-driven business requirements and functional specifications with business, technical, and testing team members.
Establish standards, processes and best practices in solution architecture, to ensure high quality deliverables.
Generate process documentation that clarifies and validates how the organization utilizes business systems to meet business requirements
Promote proper release planning, guaranteeing adherence to business needs and priorities and as a consequence, contribute to the reduction of development costs in future.
Oversee preparation of operational and capital budgets in line with set deadlines;
Develop and review effective costing cutting systems for the organization and carrying out financial audits
Prepare periodic management accounting reports for the CEO and the Board
Identify long-term financial implications of proposed projects and the effect of capital expenditure on cash flow
Advise management on improvements needed for cost controls
Ensure that management accounting reporting is up to date
Reviewing and scheduling payments and developing a commitment/priority list based on ageing list and critical payouts
Reviewing clients reconciliations and ensure ledger entries comply with requirements of various financials accounts (payables and Accruals),
Implementing a qualitative review mechanism for compliance of payables
Advising management on status of clients’ accounts and other general transactions with the bank including managing the replenishment of client’s accounts
Preparing and reconciling standard accruals and prepayments in line with the client’s contract