Reports to Finance Manager – Financial Accounting and Treasury
Location Head Office
Duties and Responsibilities
· Ensures effective monthly and daily cashflow planning and monitoring
· Monitors and updates foreign exchange rates and interest rates.
· The role supports month-end including year-end closures and produces critical treasury reports on liquidity, debt structures, and cash management.
· Provides oversight on all cash inflows and outflows for the company
· Monitors company loans and repayments in accordance with loan agreements.
· Manages and monitors the operations of the company’s bank accounts and Escrow accounts
· Implements the investment strategies in line with the company’s investment policy.
· Liaises with various banks and/financiers for the company and stakeholders on financing structures
· Has oversight of all bank reconciliations, supervising the reconciliation office.
· Ensures all financial activities adhere to internal policies, international accounting standards, and exchange control regulations.
Qualifications and Experience
· Bachelor’s degree in accounting or business studies or equivalent from a recognised institute of higher learning.
· Post graduate qualification such as CA/CIMA/ACCA /ICPAZ or equivalent is essential.
· At least 4 years’ experience in accounting post qualification experience
· Experience in airport operations is an added advantage.
Skills and Competences
· Sound knowledge of Computerized Accounting Packages essential.
· Sound Cashflow Management skills
· Good reporting skills
· Good stakeholder management skills
· Supervisory management skills
· Self-starter with the ability to work under minimum supervision
Interested qualified candidates should submit their application letters with detailed CVs, and copies of academic and professional certificates to: recruitment@acz.co.zw
Closing date for applications: 24 March 2026
Female candidates are encouraged to apply for all positions