• Prepare payments, generate cheques and submit to authorized persons for signature.
• Prepare, examine, and analyze accounting records, financial statements, and other financial reports to assess accuracy and completeness.
• Ensures that all bank transactions conform to the agreed banking contracts, controls and arrangements.
• Monitor daily bank balances to ensure that issued cheques and transfers are adequately funded.
• Examine monthly financial reports from Country Coordination Offices and provide feedback.
• Perform monthly reconciliation, closing of books of accountants and prepare appropriate reports.
• Oversee project financial/account matters and provide guidelines and suggestions.
• Prepare cash flow forcasts in consultation with Operations Manager.