Accountant job at Kaso Logistics
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Accountant
2026-09-02T17:24:49+00:00
Kaso Logistics
https://cdn.greatugandajobs.com/jsjobsdata/data/employer/comp_5581/logo/Kaso%20Logistics%20Ltd.jpg
FULL_TIME
Uganda
Kampala
00256
Uganda
Logistics
Accounting & Finance
UGX
MONTH
2026-09-16T17:00:00+00:00
8

Job Summary

The Accountant manages daily financial transactions, ensures accurate records, and keeps the company compliant with tax laws. This role involves direct collaboration with the Finance Manager to maintain financial health and support business operations.

Key Responsibilities

Banking Operations:

  • Monitor bank account balances daily and update the Finance Manager on cash flow status.
  • Complete regular bank reconciliations to match bank statements with company ledgers.
  • Identify and quickly resolve any banking errors, unrecognized fees, or transaction delays.

Check Management & Payments:

  • Prepare and issue checks, wire transfers, and electronic payments to vendors and suppliers.
  • Verify that all payment requests have the necessary managerial approvals before processing.
  • Keep a secure, sequential log of all written, canceled, and voided checks to prevent fraud.

Billing & Client Accounts:

  • Create and send out accurate invoices to clients based on contracts or project milestones.
  • Review accounts receivable reports to identify overdue client balances.
  • Contact clients professionally to follow up on late payments and resolve billing disputes.

Tax Filing & Compliance:

  • Calculate and prepare the company’s monthly and annual tax returns (like VAT and income tax).
  • Submit all statutory returns and payments electronically before official deadlines to avoid fines.
  • Organize clear tax schedules and documents so the company is always ready for audits.

Filing & Record Keeping:

  • Organize all financial documents, invoices, receipts, and vouchers into a clear digital and physical filing system.
  • Maintain and archive financial historical records according to company policy and legal requirements.
  • Restrict access to sensitive financial folders to protect confidential company data.

Petty Cash & Internal Controls:

  • Manage the physical petty cash box, ensuring it is kept safe and locked.
  • Disburse minor cash amounts for approved office expenses and collect a valid receipt for every transaction.
  • Reconcile petty cash regularly to ensure the remaining cash matches the receipt total.

Required Skills

Core Accounting Skills:

  • Strong understanding of standard bookkeeping rules, debits, credits, and general ledgers.
  • Ability to accurately calculate business taxes and understand basic financial statements.
  • Knowledge of internal controls, especially how to keep cash handling separate from record keeping.

Software & Technology:

  • Hands-on experience using accounting software (such as QuickBooks, Xero, or an ERP system).
  • Good command of Microsoft Excel for organizing data, sorting lists, and using basic formulas.
  • Experience navigating corporate online banking platforms for transfers and balance checks.

Professional & Personal Skills:

  • High attention to detail to catch numerical errors in invoicing, data entry, and banking.
  • Good communication skills for handling sensitive conversations about late payments with clients.
  • Strong organizational habits to keep thousands of receipts and documents neatly filed.
  • Total integrity and honesty when dealing with physical cash and confidential business numbers.
  • Monitor bank account balances daily and update the Finance Manager on cash flow status.
  • Complete regular bank reconciliations to match bank statements with company ledgers.
  • Identify and quickly resolve any banking errors, unrecognized fees, or transaction delays.
  • Prepare and issue checks, wire transfers, and electronic payments to vendors and suppliers.
  • Verify that all payment requests have the necessary managerial approvals before processing.
  • Keep a secure, sequential log of all written, canceled, and voided checks to prevent fraud.
  • Create and send out accurate invoices to clients based on contracts or project milestones.
  • Review accounts receivable reports to identify overdue client balances.
  • Contact clients professionally to follow up on late payments and resolve billing disputes.
  • Calculate and prepare the company’s monthly and annual tax returns (like VAT and income tax).
  • Submit all statutory returns and payments electronically before official deadlines to avoid fines.
  • Organize clear tax schedules and documents so the company is always ready for audits.
  • Organize all financial documents, invoices, receipts, and vouchers into a clear digital and physical filing system.
  • Maintain and archive financial historical records according to company policy and legal requirements.
  • Restrict access to sensitive financial folders to protect confidential company data.
  • Manage the physical petty cash box, ensuring it is kept safe and locked.
  • Disburse minor cash amounts for approved office expenses and collect a valid receipt for every transaction.
  • Reconcile petty cash regularly to ensure the remaining cash matches the receipt total.
  • Strong understanding of standard bookkeeping rules, debits, credits, and general ledgers.
  • Ability to accurately calculate business taxes and understand basic financial statements.
  • Knowledge of internal controls, especially how to keep cash handling separate from record keeping.
  • Hands-on experience using accounting software (such as QuickBooks, Xero, or an ERP system).
  • Good command of Microsoft Excel for organizing data, sorting lists, and using basic formulas.
  • Experience navigating corporate online banking platforms for transfers and balance checks.
  • High attention to detail to catch numerical errors in invoicing, data entry, and banking.
  • Good communication skills for handling sensitive conversations about late payments with clients.
  • Strong organizational habits to keep thousands of receipts and documents neatly filed.
  • Total integrity and honesty when dealing with physical cash and confidential business numbers.
  • Strong understanding of standard bookkeeping rules, debits, credits, and general ledgers.
  • Ability to accurately calculate business taxes and understand basic financial statements.
  • Knowledge of internal controls, especially how to keep cash handling separate from record keeping.
  • Hands-on experience using accounting software (such as QuickBooks, Xero, or an ERP system).
  • Good command of Microsoft Excel for organizing data, sorting lists, and using basic formulas.
  • Experience navigating corporate online banking platforms for transfers and balance checks.
  • High attention to detail to catch numerical errors in invoicing, data entry, and banking.
  • Good communication skills for handling sensitive conversations about late payments with clients.
  • Strong organizational habits to keep thousands of receipts and documents neatly filed.
  • Total integrity and honesty when dealing with physical cash and confidential business numbers.
bachelor degree
12
JOB-6a985be1b61b4

Vacancy title:
Accountant

[Type: FULL_TIME, Industry: Logistics, Category: Accounting & Finance]

Jobs at:
Kaso Logistics

Deadline of this Job:
Wednesday, September 16 2026

Duty Station:
Uganda | Kampala

Summary
Date Posted: Wednesday, September 2 2026, Base Salary: Not Disclosed

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JOB DETAILS:

Job Summary

The Accountant manages daily financial transactions, ensures accurate records, and keeps the company compliant with tax laws. This role involves direct collaboration with the Finance Manager to maintain financial health and support business operations.

Key Responsibilities

Banking Operations:

  • Monitor bank account balances daily and update the Finance Manager on cash flow status.
  • Complete regular bank reconciliations to match bank statements with company ledgers.
  • Identify and quickly resolve any banking errors, unrecognized fees, or transaction delays.

Check Management & Payments:

  • Prepare and issue checks, wire transfers, and electronic payments to vendors and suppliers.
  • Verify that all payment requests have the necessary managerial approvals before processing.
  • Keep a secure, sequential log of all written, canceled, and voided checks to prevent fraud.

Billing & Client Accounts:

  • Create and send out accurate invoices to clients based on contracts or project milestones.
  • Review accounts receivable reports to identify overdue client balances.
  • Contact clients professionally to follow up on late payments and resolve billing disputes.

Tax Filing & Compliance:

  • Calculate and prepare the company’s monthly and annual tax returns (like VAT and income tax).
  • Submit all statutory returns and payments electronically before official deadlines to avoid fines.
  • Organize clear tax schedules and documents so the company is always ready for audits.

Filing & Record Keeping:

  • Organize all financial documents, invoices, receipts, and vouchers into a clear digital and physical filing system.
  • Maintain and archive financial historical records according to company policy and legal requirements.
  • Restrict access to sensitive financial folders to protect confidential company data.

Petty Cash & Internal Controls:

  • Manage the physical petty cash box, ensuring it is kept safe and locked.
  • Disburse minor cash amounts for approved office expenses and collect a valid receipt for every transaction.
  • Reconcile petty cash regularly to ensure the remaining cash matches the receipt total.

Required Skills

Core Accounting Skills:

  • Strong understanding of standard bookkeeping rules, debits, credits, and general ledgers.
  • Ability to accurately calculate business taxes and understand basic financial statements.
  • Knowledge of internal controls, especially how to keep cash handling separate from record keeping.

Software & Technology:

  • Hands-on experience using accounting software (such as QuickBooks, Xero, or an ERP system).
  • Good command of Microsoft Excel for organizing data, sorting lists, and using basic formulas.
  • Experience navigating corporate online banking platforms for transfers and balance checks.

Professional & Personal Skills:

  • High attention to detail to catch numerical errors in invoicing, data entry, and banking.
  • Good communication skills for handling sensitive conversations about late payments with clients.
  • Strong organizational habits to keep thousands of receipts and documents neatly filed.
  • Total integrity and honesty when dealing with physical cash and confidential business numbers.

Work Hours: 8

Experience in Months: 12

Level of Education: bachelor degree

Job application procedure
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Job Info
Job Category: Accounting/ Finance jobs in Uganda
Job Type: Full-time
Deadline of this Job: Wednesday, September 16 2026
Duty Station: Uganda | Kampala
Posted: 02-09-2026
No of Jobs: 1
Start Publishing: 02-09-2026
Stop Publishing (Put date of 2030): 10-10-2076
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