The selected candidates for Finance Assistant will be expected to implement and ensure compliance for managing financial transactions related to accounts payable and payroll functions within Project.
- Verifying the effects of transactions including sales, receipts into general ledger and reconciliation of differences
- Recording & Verifying utilization reports through financial database
- Reconciling physical records with financial database
- Maintaining record of Project Funds received and disbursed
- Ensuring completion of transactions in financial database at period-end
- Preparing and verifying bank reconciliations.
- Understanding of taxation laws including income tax ordinance sales tax act and provincial tax laws.
- Prepare monthly, ad hoc reports and analysis to enhance understanding of the performance of the Projects.
- Assist the Finance Manager with all audit requirements, donor reporting and ...