• Process financial transactions, supplier invoices, staff claims, payments, and payroll accounting entries accurately in SAP and other corporate systems.
• Review supporting documentation, approvals, coding, and compliance requirements before processing financial transactions.
• Maintain accurate accounting records, financial files, audit trails, and documentation to support internal controls, audits, and donor reporting.
• Prepare and review reconciliations for General Ledger, bank, payroll, VAT, Excise Duty, CBT, and other finance-related accounts, following up on outstanding items and variances.
• Support VAT and Excise Duty refund or exemption processes, including eligibility checks, claim schedules, registers, submissions, recoveries, and reconciliations.
• Support financial oversight of Cash-Based Transfer operations by reviewing payment files, reconciling beneficiary payments, monitoring exceptions, and liaising with Financial Service Providers.
• Contribute to budget monitoring, cash management, financial analysis, management reporting, and month-end and year-end closure activities.
• Provide finance-related guidance to staff, vendors, banks, service providers, and internal stakeholders, and contribute to continuous improvement of finance processes and systems.