Job Description
Job Description
To ensure the correctness of the cash collection report as collated by the cash management officer and the aggregator, and to facilitate the quality submission of financial and management reports.
Job Requirements
Technical Competencies
- Strong understanding of the business of IBEDC and related businesses in the electricity sector
- Strong business acumen
- Treasury and Cash Management
- Banking industry and operations
- Financial Management & corporate financing
- Investment & Risk Management/ Portfolio Management
- Strong negotiation skills
- Financial Analysis/Interpretation
- Business Performance Management
- Financial Management Process knowledge
Behavioural Competencies
- An analytical mindset with excellent problem-solving skills.
- Excellent written and verbal communication skills.
- Able to work under pressure and meet deadlines.
- Excellent interpersonal skills.
- Able to manage sensitive and confidential information.
- Self-motivation and ability to take responsibility.
- Able to manage and prioritize tasks and time efficiently.
Job Responsibility
- Collation of cash stubs and checking of daily cash analysis with stubs from various cash offices
- Preparation of sales of electricity and other electricity sales reports daily, weekly, and monthly
- Downloading and monitoring of electricity payments from the various e-platforms daily.
- Summarizing Cash collection into different tariff classifications.'
- Reconciliation of bank deposits with Cash analysis daily.