Responsibilities:
· Collect and examine supporting documents for payments
a. Supply Request
b. Request for Quotation
c. Quotations
d. Quotations/Bid Analysis form
e. Purchase Order/Agreement
f. GRN
g. Invoice
h. Copy of Cheques
i. Receipt acknowledgment on supplier letter head
· Ensure that documents and signatures are valid.
· Prepare payment vouchers, and receipt vouchers.
· Prepare cheques/payment orders and ensure that they are properly delivered.
· Proper payroll sheet with columns of additions, deductions and net salary
· Tax is deducted on payroll
· Supporting time sheet available with the vouchers
· Attendance sheet
· Leave record
· Payment of salary through bank transfer or cross cheque
· Receipt acknowledgement from staff
· Record all transactions, on manual/computer systems as appropriate.
· Proper Ledger available for each budgeted head
· Maintain Cash Book
· Maintain Bank Book
· Maintain float, loan and salary advance registers.
· Bank and Cash reconciliation statement
· Midterm Financial report
· Final financial report
· Ensure that supporting documents/signatures are valid.
· Prepare petty cash vouchers.
· Be responsible for petty cash held in the office.
· Prepare Petty Cash Form, and request additional cash as necessary.
· Carry out cash count every two weeks
· Ensure that all accounts records are filed in an orderly manner.
F
Responsibilities:
• To maintain books of Accounts
· To prepare all cash and Bank Payments/ Receipts/ Journal Vouchers
· To prepare Bank Reconciliation Statement
· To maintain personnel record
· To maintain and Manage Organizational fixed assets
· Inventory Controlling
· To facilitate the visitors in office
· Check and Balance of Vehicles
· Proper practices of Daily and Weekly Time Sheets
· To organize event/workshop/Training
· Documentation
· Procurement and Purchasing
· Physical verification of assets on monthly basis
Logistic arrangement
Responsibilities:
· Handling cash receipts and payments, and prepare cash reconciliation.
· Prepare bank reconciliations.
· Enter financial data in system.
· Prepare detail of withholding tax, and deposit in bank.
· Coordinate in compilation of financial data and provide accurate and up dated financial information to donor and senior management on a continuous basis.
· Provide financial details as may be required for tax purposes and by auditors.
· Coordinate external annual and project specific audits.
· Coordinate / facilitate internal audit of projects / offices as per the annual audit.
· Follow up the Accounts Receivable and Payable and arrange their settlements in consultation with relevant department. Individual and organizations.
· Do other responsibilities as and when desired by supervisors
Working under National Internship Program (NIP) with District Accounts Office Hyderabad According to My Related Degree in Finance Internee