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Update fund records for accuracy, decision making and reporting to the Board of Trustees
- Updating and maintaining Members’ Account (Account balancing and maintaining records)
- Computing Members’ Benefits and withholding tax
- Facilitating the preparation of quarterly and annual financial statements /accounts and administration reports
- Filing of all statutory reports, payments of levies and taxes to the regulatory bodies.
- Updating individual data on date of birth, date of employment, joining the fund beneficiaries and contacts.
- Arranging and keeping minutes for office weekly and monthly meetings
Qualifications
- Graduate Degree in an Accounting Field or related business degree from a reputable university
- CPA II or equivalent
- 2 years experience in pensions/provident fund administration or closely related working environment
- Knowledge of RBA Rules & Regulations and KRA laws on retirement benefits schemes
- Computer Literate
- High integrity and confidentiality
- Excellent analytical and numerical skills with attention to detail
- Ability to adhere to strict deadlines with minimum supervision
- Excellent communication and interpersonal skills
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