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THE COMPANY
The Development Finance Corporation (DFC) is Belize’s only Development Bank. Our Board of Directors and Staff are strongly committed to our mandate to provide innovative development financial solutions which contribute to the resilient and equitable growth of Belize.
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THE POSITION
The Accounting Clerk is responsible for providing support to the Supervisor, Accounts Receivable and the Accounting Manager. In addition, he/she is to take care of basic office tasks that involve reporting, bookkeeping, filing, research and creating resolution of discrepancies related to any of the tasks he/she performs.
Education & Experience
- An Associate Degree in Accounting, Business Administration or related field.
Required Knowledge, Skills & Abilities
- Must have initiative, be results-oriented and self-motivated
- Must be attentive to details
- Excellent Interpersonal and communication skills
- Excellent planning and organizational skills (will be required to juggle multiple and unexpected priorities as normal part of responsibilities)
- Team oriented and possess a positive attitude
- Proficient in Microsoft Office Applications
- General knowledge on the Corporation’s activities, functions, services and personnel
- Able to maintain a high level of confidentiality and ethical behavior.
DUTY STATION
HEADQUARTERS, BELMOPAN
Key Responsibilities Include:
- Process payments made by clients via Credit Advice, Value Book, Staff Loan Salary Deductions and GOB.
- Prepare Bank Reconciliation for all the Corporation’s bank accounts.
- Prepare Daily Cash Position and adjust as necessary.
- Prepare Salaries Journal Vouchers.
- Prepare amendments and adjustments to loan accounts and file in chronological order.
- Assist Insurance Officer with insurance related reports as well as the monthly insurance uploads unto the loan management system.
- File all relevant accounts department documents.
- Process transfers through on-line banking.
- Number journal vouchers and pass to respective employee for data entry.
- Prepare Final Payment Certificates.
- Prepare balances and final balances when requested for Headquarters and Branches.
- To act as a relief cashier, on a rotational basis.
- Manage the accounting department’s inventory supplies.
- Issue journal vouchers where necessary.
- Assist with accounting training when requested.