Organisation
Ministry of Finance & The Public Service
Reference
VAC-58142
Contract Type
Full-Time
Industries
Accounting & Finance
Location
Kingston
Salary & Benefits
$3,501,526 to $4,709,163 per annum
Date Posted
12/06/2025
Expiry Date
26/06/2025
The incumbent is responsible for timely reconciliation of debt service payments, loan balances, and project accounts, ensuring accuracy in financial records and updates to the CS-DRMS system.
JOB PURPOSE:
The incumbent has responsibility to conduct proper and timely reconciliation of:
- Debt service payment to the Accountant General and the Bank of Jamaica (BOJ).
- External and domestic loan balances with the Accountant General
- Bank reconciliation of approximately 50 project accounts for which the Debt Management Branch has portfolio responsibility
- Audited financial statements as requested by creditors and ensure that CS DRMS System is updated with the reconciled bank accounts and financial statements.
KEY RESPONSIBILITIES:
To conduct reconciliation of audited financial statements as requested by creditors
- Review creditors audited financial statements;
- Examine and compare with data recorded or CS-DRMS to determine difference if any;
- Liaise with creditors and advise them of balances interest rates and the differences between audited financial statements and debt management records;
- Consult with Supervisor in cases of major discrepancies;
- Reconcile the differences and prepare reports for input on CS-DRMS.
To conduct semi-annual reconciliation exercise with creditors.
- Request balances from creditors;
- Examine accounts against CS-DRMS records to identify gaps if any;
- Consult with creditors as necessary;
- Reconcile and prepare for CS-DRMS.
To conduct reconciled of debt service and external/domestic loan balances with Accountant General.
- Monitor the funding of accounts by funding agencies and the posting of bank statements to the system to ensure accuracy and completeness;
- Verify that cheques drawn and cash reflect authorised disbursement;
- Examine Reconciliation Summary and Details and identify and resolve any discrepancies/errors found until the reconciliations are balanced and free from error;
- Advise the bank until errors are corrected;
- Prepare and submit completed bank reconciliation statements to supervisor for review and approval prior to distribution of copies to the relevant Implementing Agencies
REQUIRED COMPETENCIES:
- Good knowledge of Accounts and bank reconciliation.
- Good knowledge of relevant computer applications and spread-sheet
- Integrity
- Communication
- Judgment
- Problem Solving/Analysis
- Interpersonal Skills
- Judgment
- Job Knowledge
QUALIFICATION/EXPERIENCE:
- Bachelors’ degree in Accounting or Management Studies or equivalent qualifications.
- Two (2) years’ experience in a manual and/or automated bank reconciliation environment.
SPECIAL CONDITIONS OF THE JOB
- Flexibility needed to complete assignments beyond normal working hours, in order to meet critical deadline.
We thank all applicants for the interest expressed; however, only shortlisted candidates will be contacted.
Region:
Kingston
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