Finance Assistant
2026-07-15T17:21:04+00:00
PAIX Data Centres
https://cdn.greatkenyanjobs.com/jsjobsdata/data/employer/comp_11672/logo/paix.jpeg
http://www.paix.io/
FULL_TIME
Nairobi
Nairobi
00100
Kenya
Finance
Accounting & Finance
2026-07-27T17:00:00+00:00
8
Job Description
As a Finance Assistant, you will be involved in managing a general ledger and finance compliance matters for the Kenya business for monthly group reporting, performing day to day accounting, debt collections, accounts payables, invoicing & accounts receivables, local statutory reporting, monthly tax returns and forecasting and supporting annual external audits.
Specific Responsibilities:
Debt Collection
- Follow-up on collections from customers via calls, emails and visits to ensure collection targets are achieved month-on-month
- Maintaining strong relationships with customers, providing excellent customer service, and addressing their queries
- Initiating collection actions, such as demand notice,suspension letters and legal proceedings to clear all outstanding debts
- Prepare and circulate accurate customer statements of accounts to assist with collections
- Negotiating payment plans, deadlines, and terms with customers
- Collection of WHT certificates from customers
- Make sure 90% of invoices do not go beyond 90days
Financial Accounting
- Maintain accurate ledgers in Zoho Books by ensuring monthly reconciliations are done
- Reconcile cash and bank entries with deposits and expenses daily
- Ensure all transactions have supporting documents stored in ZohoBooks, Zoho Workdrive, and physical files where applicable
- Report daily cash balances
- Petty Cash management
Fiscal Compliance
- Calculate and file VAT taxes accurately and on time
- Ensure WHT deductions are made and paid to KRA on time
- Collect WHT certificates from KRA and send them to vendors promptly
- Accurately deduct and pay all statutory and PAYE taxes to the KRA, NSSF, and NHIF
Statutory Audit
- Supporting on audit fieldwork and compilation of requested information
- Any other audit requirements
Invoicing
- Timely and accurate invoicing of customers via ZohoBooks
- Accurately match customer payments to invoices in ZohoBooks
- Prepare and circulate accurate customer statements of accounts to assist with collections
Vendor Management
- Perform vendor background checks and onboard vendors onto Zoho Books per company procedures
- Prepare Purchase Orders and strictly enforce the "No PO, No Payment" policy
- Prepare and match invoices with purchase orders
- Communicating to vendors on payments made
- Obtain quarterly, confirmatory statements of accounts from vendors
- Perform quarterly supplier evaluation as per the policy
Quality Control and Internal Audit
- Maintain the asset register
- Regularly complete asset and quality audits
- Liaising with the operations team to ensure tagging of physical assets
Reporting
- Help prepare reports for customers, such as quarterly customer billing overviews
- Supporting in the production of monthly management reports including P&L, Cashflow and Balance sheet
- Preparation of customer aging and any other adhoc reports
- Preparation of monthly revenue reports
Teamwork
- Collaborate with Finance colleagues in other countries to develop the Finance function further
- Proactively engage with colleagues to make improvements in the Finance function
Learning and Development
- Continuously strive to develop understanding of the finance role to improve skills and know-how
Additional Responsibilities
- Perform any additional duties assigned by your Line Manager
- Help colleagues from time to time as required
Requirements
To qualify for this role, you should have the following:
- Bachelor's degree in Finance, Accounting, Business Administration, or a related field.
- Professional accounting certifications e.g. CPA, ACCA etc
- Minimum of 1–2 years of relevant work experience in accounting or finance
- Willingness to embrace the complexities of scaling, to get involved in operational tasks where necessary, and remarkable enthusiasm and willingness to support PAIX's growth
- Excellent written and verbal communication skills
- Strong analytical skills and attention to detail, with the ability to interpret data and make data-driven decisions
- Follow-up on collections from customers via calls, emails and visits to ensure collection targets are achieved month-on-month
- Maintaining strong relationships with customers, providing excellent customer service, and addressing their queries
- Initiating collection actions, such as demand notice,suspension letters and legal proceedings to clear all outstanding debts
- Prepare and circulate accurate customer statements of accounts to assist with collections
- Negotiating payment plans, deadlines, and terms with customers
- Collection of WHT certificates from customers
- Make sure 90% of invoices do not go beyond 90days
- Maintain accurate ledgers in Zoho Books by ensuring monthly reconciliations are done
- Reconcile cash and bank entries with deposits and expenses daily
- Ensure all transactions have supporting documents stored in ZohoBooks, Zoho Workdrive, and physical files where applicable
- Report daily cash balances
- Petty Cash management
- Calculate and file VAT taxes accurately and on time
- Ensure WHT deductions are made and paid to KRA on time
- Collect WHT certificates from KRA and send them to vendors promptly
- Accurately deduct and pay all statutory and PAYE taxes to the KRA, NSSF, and NHIF
- Supporting on audit fieldwork and compilation of requested information
- Any other audit requirements
- Timely and accurate invoicing of customers via ZohoBooks
- Accurately match customer payments to invoices in ZohoBooks
- Prepare and circulate accurate customer statements of accounts to assist with collections
- Perform vendor background checks and onboard vendors onto Zoho Books per company procedures
- Prepare Purchase Orders and strictly enforce the "No PO, No Payment" policy
- Prepare and match invoices with purchase orders
- Communicating to vendors on payments made
- Obtain quarterly, confirmatory statements of accounts from vendors
- Perform quarterly supplier evaluation as per the policy
- Maintain the asset register
- Regularly complete asset and quality audits
- Liaising with the operations team to ensure tagging of physical assets
- Help prepare reports for customers, such as quarterly customer billing overviews
- Supporting in the production of monthly management reports including P&L, Cashflow and Balance sheet
- Preparation of customer aging and any other adhoc reports
- Preparation of monthly revenue reports
- Collaborate with Finance colleagues in other countries to develop the Finance function further
- Proactively engage with colleagues to make improvements in the Finance function
- Continuously strive to develop understanding of the finance role to improve skills and know-how
- Perform any additional duties assigned by your Line Manager
- Help colleagues from time to time as required
- Excellent written and verbal communication skills
- Strong analytical skills and attention to detail, with the ability to interpret data and make data-driven decisions
- Bachelor's degree in Finance, Accounting, Business Administration, or a related field.
- Professional accounting certifications e.g. CPA, ACCA etc
JOB-6a57c1809fb04
Vacancy title:
Finance Assistant
[Type: FULL_TIME, Industry: Finance, Category: Accounting & Finance]
Jobs at:
PAIX Data Centres
Deadline of this Job:
Monday, July 27 2026
Duty Station:
Nairobi | Nairobi
Summary
Date Posted: Wednesday, July 15 2026, Base Salary: Not Disclosed
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JOB DETAILS:
Job Description
As a Finance Assistant, you will be involved in managing a general ledger and finance compliance matters for the Kenya business for monthly group reporting, performing day to day accounting, debt collections, accounts payables, invoicing & accounts receivables, local statutory reporting, monthly tax returns and forecasting and supporting annual external audits.
Specific Responsibilities:
Debt Collection
- Follow-up on collections from customers via calls, emails and visits to ensure collection targets are achieved month-on-month
- Maintaining strong relationships with customers, providing excellent customer service, and addressing their queries
- Initiating collection actions, such as demand notice,suspension letters and legal proceedings to clear all outstanding debts
- Prepare and circulate accurate customer statements of accounts to assist with collections
- Negotiating payment plans, deadlines, and terms with customers
- Collection of WHT certificates from customers
- Make sure 90% of invoices do not go beyond 90days
Financial Accounting
- Maintain accurate ledgers in Zoho Books by ensuring monthly reconciliations are done
- Reconcile cash and bank entries with deposits and expenses daily
- Ensure all transactions have supporting documents stored in ZohoBooks, Zoho Workdrive, and physical files where applicable
- Report daily cash balances
- Petty Cash management
Fiscal Compliance
- Calculate and file VAT taxes accurately and on time
- Ensure WHT deductions are made and paid to KRA on time
- Collect WHT certificates from KRA and send them to vendors promptly
- Accurately deduct and pay all statutory and PAYE taxes to the KRA, NSSF, and NHIF
Statutory Audit
- Supporting on audit fieldwork and compilation of requested information
- Any other audit requirements
Invoicing
- Timely and accurate invoicing of customers via ZohoBooks
- Accurately match customer payments to invoices in ZohoBooks
- Prepare and circulate accurate customer statements of accounts to assist with collections
Vendor Management
- Perform vendor background checks and onboard vendors onto Zoho Books per company procedures
- Prepare Purchase Orders and strictly enforce the "No PO, No Payment" policy
- Prepare and match invoices with purchase orders
- Communicating to vendors on payments made
- Obtain quarterly, confirmatory statements of accounts from vendors
- Perform quarterly supplier evaluation as per the policy
Quality Control and Internal Audit
- Maintain the asset register
- Regularly complete asset and quality audits
- Liaising with the operations team to ensure tagging of physical assets
Reporting
- Help prepare reports for customers, such as quarterly customer billing overviews
- Supporting in the production of monthly management reports including P&L, Cashflow and Balance sheet
- Preparation of customer aging and any other adhoc reports
- Preparation of monthly revenue reports
Teamwork
- Collaborate with Finance colleagues in other countries to develop the Finance function further
- Proactively engage with colleagues to make improvements in the Finance function
Learning and Development
- Continuously strive to develop understanding of the finance role to improve skills and know-how
Additional Responsibilities
- Perform any additional duties assigned by your Line Manager
- Help colleagues from time to time as required
Requirements
To qualify for this role, you should have the following:
- Bachelor's degree in Finance, Accounting, Business Administration, or a related field.
- Professional accounting certifications e.g. CPA, ACCA etc
- Minimum of 1–2 years of relevant work experience in accounting or finance
- Willingness to embrace the complexities of scaling, to get involved in operational tasks where necessary, and remarkable enthusiasm and willingness to support PAIX's growth
- Excellent written and verbal communication skills
- Strong analytical skills and attention to detail, with the ability to interpret data and make data-driven decisions
Work Hours: 8
Experience in Months: 12
Level of Education: bachelor degree
Job application procedure
Click here to apply: https://careers.paix.io/jobs/Careers/46150000001879002/Finance-Assistant?source=CareerSite
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