{"id":37961,"date":"2026-02-05T14:46:36","date_gmt":"2026-02-05T18:46:36","guid":{"rendered":"https:\/\/evecaribbean.com\/gy\/job\/finance-officer\/"},"modified":"2026-03-11T09:04:40","modified_gmt":"2026-03-11T13:04:40","slug":"finance-officer","status":"publish","type":"job","link":"https:\/\/evecaribbean.com\/gy\/job\/finance-officer\/","title":{"rendered":"Finance Officer"},"content":{"rendered":"<p><html><body><span style=\"text-decoration: underline;\"><strong>Summary<\/strong><\/span> <\/p>\n<p>To perform a variety of Finance tasks, related to accounts payables\/receivables, <br \/>inventory management, and fixed asset management; ensuring that all aspects of <br \/>the Finance function are carried out in a correct and efficient manner. To maintain and apply financial and accounting standards and policies in order to support the operation.<\/p>\n<p><strong>Location:<\/strong> The position will be based at Guyana head office. <br \/><strong>Dimensions:<\/strong> The Finance Officer will report to the Senior Finance Officer.<\/p>\n<p><span style=\"text-decoration: underline;\"><strong>Responsibilities:<br \/><\/strong><\/span> <br \/><strong>1. Receivables<br \/><\/strong> <br \/>a) Receive and receipt cash items and third-party payments, on account and miscellaneous; post and reconcile payments to ledgers. <br \/>b) Review refunds and adjustments; reconcile, correct, and apply adjustments to customer billing records. <br \/>c) Maintain logs, enter and balance account data and generate statistical summary reports as required. <br \/>d) Enter P.O.A. in A\/c Receivables module on a daily basis and file computer generated receipts and sales invoices. <br \/>e) Follow up on accounts receivables by making calls to customers, sending statements and reporting on the status of these accounts to the Finance Manager at least twice a week. <br \/>f) Reconcile A\/c Receivables sub ledger with general ledger. <br \/>g) Generate monthly customer statements and issue to customer. <br \/>h) Maintain customer files with any matters which may arise. <br \/>i) Prepare returned cheques Listing. <br \/>j) Track and follow-up on any unpaid returned cheques. <br \/>k) Manage the company&#8217;s petty cash and replenish it in a timely manner. <br \/>l) Review and reconcile daily sales shift transactions, deposits from Point-Of- Sale and transfer to Sage. <br \/>m) Prepare hand over log for night deposits for all cash and cheque transactions for collection by the security company. <br \/>n) Prepare and update Cash on Delivery (COD) listing monthly. <br \/>o) Prepare sales commissions calculations for the Sales Representatives and Retail Stores monthly. <br \/>p) Perform monthly bank reconciliations. <br \/>q) Maintain customer files with any matters which may arise. <\/p>\n<p><strong>2. Payables<br \/><\/strong> <br \/>a) Receive and review purchase orders, check requests and\/or other related documentation for completeness and compliance with financial policies, procedures, and contractual requirements. <br \/>b) Match original invoices and requests for payment with internal purchase orders; perform calculations to determine appropriate payment schedules and amounts and make modifications as necessary. <br \/>c) Enter foreign and local invoices in the Payables module of SAGE as they are received by the suppliers. <br \/>d) Code, verify and electronically enter accounts payable data into system. <br \/>e) Reconcile production and inventory clearing accounts. <br \/>f) Enter invoices twice per week through the Accounts Payables sub ledger. <br \/>g) Prepare cheque payments twice per week or as required. <br \/>h) Follow up on account statements and other discrepancies regarding payment of accounts and serve as liaison between departments in the resolution of administrative problems and inquiries. <br \/>i) Monitor purchase orders and periodically notify appropriate departments of <br \/>balances. <br \/>j) Maintain logs, enter and balance account data and generate statistical summary reports as required. <br \/>k) Posts and reconcile payments to ledgers. <br \/>l) Review refunds and adjustments; reconcile, correct, and apply adjustments to billing records. <br \/>m) Balance daily, weekly, or monthly batches and reports; prepare income reports and statistics; distribute reports. <br \/>n) Assist in preparing the daily deposits of all cash and cheque transactions. <br \/>o) Reconcile Accounts Payable Sub Ledgers to the General Ledger <br \/>p) Assist in updating cash flow on a daily basis. <br \/>q) Follow up on account statements and other discrepancies regarding payment of accounts and serve as liaison between departments in the resolution of accounting system related problems and inquiries. <br \/>r) Monitor purchase orders and periodically notify appropriate departments of balances. <br \/>s) Prepare tax filing and returns.<\/p>\n<p><strong>3. Inventory<\/strong><\/p>\n<p>a) Prepare costings via collating and allocating of respective additional cost on all raw materials and finished goods receipts shipments. <br \/>b) File all export and import documents for shipments. <br \/>c) Reconcile inventory sub-ledger to general ledger. <br \/>d) Assist in planning of stocktaking procedures. <br \/>e) Monitor all inventory goods in transit locations to ensure they are kept under control. <br \/>f) Oversee all stock counts providing full support and assistance. <br \/>g) Input stock adjustments. <br \/>h) Liaise with IT to ensure that new item codes for inventory are entered and updated into the Inventory Control (IC) Sub Ledger <\/p>\n<p><strong>4. Fixed Asset Management<br \/><\/strong> <br \/>a) Maintain fixed assets register. <\/p>\n<p><strong>5. Audit<br \/><\/strong> <br \/>a) Provide full support to the annual financial audit.<\/p>\n<p><span style=\"text-decoration: underline;\"><strong>Qualifications \/ Experience<\/strong><\/span> <br \/>1. Three (3) A&#8217; Level passes including Accounting along with at least one year of <br \/>experience in the Accounting field and a knowledge of Account software including <br \/>Sage. <br \/>OR <br \/>2. Certified Accounting Technician (CAT) designation and at least one year of experience <br \/>in the Accounting field and a knowledge of Account software including Sage. <\/p>\n<p><span style=\"text-decoration: underline;\"><strong>Skills, Competencies and Requirements<\/strong><\/span> <br \/>1. Highly computer literate in Microsoft Office Suite particularly Advance Excel, statistical and accounting software <br \/>2. Analytical and problem-solving skills <br \/>3. Time management <br \/>4. Ability and track record of forecasting \/ Budgeting <br \/>5. Results Driven <br \/>6. Strong networking and relationship building ability <br \/>7. Excellent oral and written presentation and communication skills <br \/>8. Ability to work independently and highly organised<\/body><\/html><\/p>\n","protected":false},"featured_media":37962,"template":"","meta":{"_acf_changed":false},"job-category":[],"job-location":[],"job-type":[460],"class_list":["post-37961","job","type-job","status-publish","has-post-thumbnail","hentry","job-type-permanent"],"acf":{"positionid":"201431","company":"","salary":"","salary_max":"","apply":"https:\/\/www.eveandersonrecruitment.com\/gy\/apply\/?JOBSHARE5YI7NAGBCREFVRVHSAPIRGOUCSKBFRWUV5B6NYXQIE6CWID27SJUBCLCWH2BPLCVEZE4YALH4ATODEP3WGQN2MKGYHN5GLVG&src=&srcref="},"_links":{"self":[{"href":"https:\/\/evecaribbean.com\/gy\/wp-json\/wp\/v2\/job\/37961","targetHints":{"allow":["GET"]}}],"collection":[{"href":"https:\/\/evecaribbean.com\/gy\/wp-json\/wp\/v2\/job"}],"about":[{"href":"https:\/\/evecaribbean.com\/gy\/wp-json\/wp\/v2\/types\/job"}],"wp:featuredmedia":[{"embeddable":true,"href":"https:\/\/evecaribbean.com\/gy\/wp-json\/wp\/v2\/media\/37962"}],"wp:attachment":[{"href":"https:\/\/evecaribbean.com\/gy\/wp-json\/wp\/v2\/media?parent=37961"}],"wp:term":[{"taxonomy":"job-category","embeddable":true,"href":"https:\/\/evecaribbean.com\/gy\/wp-json\/wp\/v2\/job-category?post=37961"},{"taxonomy":"job-location","embeddable":true,"href":"https:\/\/evecaribbean.com\/gy\/wp-json\/wp\/v2\/job-location?post=37961"},{"taxonomy":"job-type","embeddable":true,"href":"https:\/\/evecaribbean.com\/gy\/wp-json\/wp\/v2\/job-type?post=37961"}],"curies":[{"name":"wp","href":"https:\/\/api.w.org\/{rel}","templated":true}]}}