Treasury & cash follow up
To do daily physical inventory of the safe and cash box, and report any discrepancies to superior
To manage the safe and the petty cash
To regularly got to go the bank to take money
To do and follow up the pay-outs and advances, within established guidelines
To prepare and validate any checks done at base level
To translate all invoices into English
To monitor due dates for payments of contracts
To check and to be responsible of following up the program payments if applicable (cash for rent , cash for work and minor rehabilitation payments, etc..)
To guarantee security of the cash and confidentiality of information
Finance & Accounting management
To check, before recording any entry, that the invoices are compliant with PU-AMI regulations and procedures
To record all expenses in the excel sheet on a daily basis, and to properly fill in the information needed (date, accounting code, project, budget code etc…)
To prepare monthly closing, revision and integrity of accounts for the base
To issue vouchers, and to properly archive the invoices and Saga vouchers in dedicated files based on the donor’s rules and regulations.
To collect all invoices exempted from the VAT and to do a quarterly report
Application Deadline
Organisation
Salary Range
Unpaid Position
Contract Type
Full Time
Application Submission Guidelines
Kindly submit a cover letter along with your curriculum vitae and write the position title as a subject for your email. Fresh graduates are welcomed to apply. To be recruited as soon as possible.
Requires a Cover Letter?
Yes
Education Degree
Bachelor Degree
Education Degree Details
Bachelor Degree in Finance, Accounting
Arabic
Fluent
English
Fluent
Hide guidelines for wrong answers
No