Brief Job Description : • Prepare the Budget
• Analysis budgets with actual expenses
• Prepared face form
• Verification of voucher
• Dealing with vendors
• External and UNDP Audit
• Verification of Assets
• Verifications of stock
• Preparation and submission of Withholding tax on staff salary, payments on monthly basis.
• Preparation of payrolls and payroll reconciliation
• EOBI preparation and submission
• Liaison with the program team to provide the reasons for variances in the budget utilization
• Closely liaison with the SR & PR financial teams for monitoring and liquidation of the data.
• Management of bank books and transaction including posting in financial software and filing
• Responsible for the Preparation of Ledger, Trial Balance, Reconciliation Statements
• Prepares accounts/ documents for final Audit of the organization.
• To ensure in time ordering, receiving and storage of all required commodities e.g. pharma, health and general items.
• To provide administrative support to the program team and ensure monthly reconciliation of the stocks/inventories.
• Will supervise data entry operator to ensure timely entries of all program and commodities related data in MIS/eLMIS
· Branch account maintain
· Sale, purchase, petty cash, receivable, salary record maintain
· Negotiated the customers regarding credit facility
· Dealing with Vendors
· Cost controlling and corporate financial reporting;
· Budgeting and forecasting with periodical controls, variance analysis, management reporting and ensuring compliance at Branch level
· Funds and treasury management;
· System development for effective operations;
· Monitoring invoicing, payment and recovery;
· Liaison with banks and handling all banking matters;
Preparation and submission of different reports as per statutory requirement
Brief Job Description :
· Sale, purchase, journal, payment & receipt vouchers on computerized environment using AZM computers Financials
· Maintain stock Register of paint, Lubricants, Imported and Local spare parts
· Aging of Receivables and payables
· Maintain input and output sale tax register
· Maintain withholding tax register
· Costing of Parts and consumption monthly basis
· Check the matter of Insurance and leasing
· Prepared monthly Bank Reconciliation
· Cash Handling
· Expenses verify
· Stock register maintain
· Aging of Receivable
· Expenses check
· Medical expenses verify
· Prepare receivable report
· Maintain deposits check records
· Prepared bank reconciliation