Bookkeeper


Key Responsibilities

- Administrative financial services are provided to the project to ensure compliance, quality, accuracy and consistency of work in project implementation.

- Consistent service delivery is ensured by collaborating and working closely with all of the team members of the Project.

- All the day to day operational procedures in planning, implementation, monitoring and evaluation, closure, audit, etc. are conducted in timely manner and in line with WV Policy and Procedure as well as Field Financial Manual (FFM).

- The Project staffs are provided the necessary account analysis codes and assistance to correctly filled in and prepare cash advance, EER, payment request.

- The project team is assisted in verifying quotations, procurement, service supply contracts for project- related activity.

- Adequacy and correctness of the supporting documents ensured for payments and/or voucher preparation (using Voucher Interface) to ensure consistency with WV’s Policy and donor requirements.

- The financial transactions are monitored regularly to maintain project financial account in place and in order.

- The suppliers of the quotes/bids submitted for major purchases are randomly selected to verify the existence, nature of business (whether it’s related to the goods or services being asked to quote or bid), relationship of the supplier with the staff of the project and reasonability of amount quoted.

- The quality of the goods and services delivered to the beneficiaries is verified by conducting random visit to the project sites.

- WV accounting policies and procedures are communicated to all staff and relevant partners.

- The Project Manager is assisted in planning and developing project budget in line with the Plan of Action and log frame.

- The financial reports cover memo prepared with variance explanations, Advances & Payables Aging Analysis (IA 264 & IA 269), the asset register updated, the bank reconciliation performed and sent on time to the Cluster Finance Officer for posting.

- The Sunsystem generated financial reports are reviewed with assistance of Cluster FO and NO FO for any non-project related expenses, discrepancies and irregularities the project finance manual.

- The Manager is provided with the necessary management financial report as and when required and adhering to the standards/templates required by donor.

- Filing system of key documents is established and maintained (in hard copy and soft copy) and in line with audit requirements.

- All financial and other records required for audit purposes are maintained, and assistance provided in regular auditing of the Project. (Please see more details of Role dimension in Job Description)

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