Skip to main content

Kifiya Financial Technologies Vacancy 2026 – Terminal Accountant, Smart Mobility

Kifiya Financial Technologies Addis Ababa, Addis Ababa, ET

Role description

Kifiya Financial Technologies is hiring a Terminal Accountant, Smart Mobility in Addis Ababa. This is an entry-level accounting opportunity suitable for fresh graduates and candidates with up to one year of relevant experience.
Recruitment scam prevention
Job Summary
The Terminal Accountant will manage financial transactions and revenue reconciliation at an assigned Smart Mobility terminal. The role focuses on reconciling ticket sales revenue, managing cash and change funds, processing bank deposits, reconciling digital transactions, maintaining financial controls, and preparing accurate financial reports.
Position Details
Job Title: Terminal Accountant, Smart Mobility Company: Kifiya Financial Technologies Department: Smart Mobility Job Location: Addis Ababa, Ethiopia Work Location: Head Office Employment Type: Full-time Career Level: Entry Level / Fresh Graduate Experience: 0–1 year Number of Positions: 1 Reports To: Terminal Ticket Sales Manager, Smart Mobility
About Kifiya Financial Technologies
Kifiya is an AI-powered financial and market infrastructure company working to advance inclusive economic growth across Africa. The company develops risk decisioning systems, financial infrastructure, and market linkage platforms supporting access to credit, insurance, payments, and capital.
About Smart Mobility
Smart Mobility is Kifiya's digital mobility infrastructure venture, designed to modernize passenger transport through digital platforms, marketplace coordination, and data-driven operational oversight.
Key Responsibilities
Ticket Revenue Reconciliation
Collect and reconcile daily ticket sales revenue from Terminal Ticket Sales Agents. Verify cash collections against system-generated ticket sales records. Investigate discrepancies between physical cash and ticketing system reports. Record and obtain required signatures on reconciliation documentation.
Cash and Change Fund Management
Distribute and manage change funds required for ticket sales operations. Ensure appropriate denominations are available for ticket transactions. Monitor change fund usage and perform end-of-day reconciliation. Securely collect and store cash received from ticket sales operations.
Bank Deposits and Financial Safeguarding
Securely store and deposit collected revenue according to company financial policies. Prepare bank deposits for daily ticket sales revenue. Maintain secure handling and transportation of cash deposits. Ensure deposits are accurately recorded in financial records.
Digital Transaction Reconciliation
Reconcile electronic ticket sales, including mobile payments and digital wallets. Compare digital transaction records with ticketing system reports. Report electronic payment discrepancies to the finance team.
Financial Control and Fraud Prevention
Conduct surprise cash counts and spot checks on ticket sales agents. Identify suspicious financial activity and repeated discrepancies. Escalate potential fraud risks and financial irregularities to management. Ensure compliance with internal financial control procedures.
Financial Reporting and Documentation
Prepare daily reconciliation reports and terminal financial summaries. Maintain records of ticket sales, deposits, refunds, and discrepancies. Submit financial reports to the central finance department. Ensure financial documentation is complete and audit-ready.
Operational Coordination
Coordinate with terminal managers and ticket sales supervisors to ensure financial procedures are followed. Support terminal staff in resolving ticket sales reconciliation issues. Ensure proper financial handling during staff shift changes. Provide guidance on financial procedures and compliance requirements.
Key Qualifications and Experience
Bachelor's degree or diploma in Accounting, Finance, Business Administration, or a related field . 0–1 year of experience in accounting, financial operations, or cash management. Experience with ticketing systems, retail financial operations, or transport services is an advantage. Strong attention to detail and ability to manage financial transactions accurately.
Core Skills
Cash management and financial reconciliation Revenue integrity and financial controls Ticketing system reconciliation Fraud detection and risk monitoring Financial reporting and documentation Attention to detail and accuracy Compliance with financial procedures Operational coordination and communication Decision-making Analytical thinking and problem-solving
Application Deadline
October 25, 2026