Education ACCA, CA Finalist

Experience: 5 years of experience in Donor Agency's grant-funded project with similar role.

TASKS & ACCOUNTABILITIES: 

Payables’ Management:           

  • Review of vendor payments to ensure they are made on timely basis after due verification.
  • Assist in resolution of queries before payment processing & giving advice to PSM
  • Ensuring all payments are made with appropriate supporting duly verified by relevant deptt
  • Review for completeness of Supporting’s, & Tax status of vendor, cheque Title, etc.
  • Ensuring timely disbursements of cheques to vendors & others as per policy time frame
  • Follow-up on unpresented / long outstanding cheques
  • Ensuring reimbursement of perdiems and travel expenses claims as per approved policy
  • Ensuring existence of and compliance of effective controls over all banking transactions

Petty Cash Management

  • Implementation of Petty Cash Imprest system in eight self-implemented districts
  • Review of petty cash advance requests & replenishments as per imprest limit for PMU, two Provincial offices, and eight Self-implemented districts for compliance with petty cash policy.
  • Capacity Building by guiding new SID’s staff on Petty Cash policy and recurring expenses for allowed & disallowed expenses and flow of financial documentation.
  • Timely provision of advances to districts
  • Provision of accurate templates to be used for IOU Forms / Vouchers & Expense Summary to new SIDs

Employee Advances Management:

  • Review advance requests received from PMU, two Provincial Offices & eight Self -implementation districts for provision of budget approvals.
  • Review of approvals from Department Heads & Project Director before payment
  • Review of party wise ledgers for all District Coordinators of SIDs, Admin Assistants & Provincial Managers of two provincial offices for their timely adjustments as per policy.

Payroll Processing:

  • Review / Rechecking Monthly Payroll for calculation of EOBI, PF, PF Loans, Expense Reimbursements, Employee advance adjustments, and tax deductions.
  • Review of Recon from Last month payroll to current month payroll
  • Review of Payroll in GL to ensure it is booked against correct budget Lines
  • Ensure Payroll is signed by Signatories as approved limits
  • Check Calculation of final settlement of employees & coordinate with Karachi office for payment of P.F.
  • Coordination with Bank for provision of Payroll Transfer instructions to credit employees accounts.

Grants’ Receipt Recording & Disbursements

  • Ensuring accurate recording of donations received for grant as per grant notification using correct exchange rates
  • Review of cash disbursement requests of FPHC & BRSP
  • Ensuring grant disbursements are processed as per approved request received in designated bank accounts of SRs
  • Reporting of Grants’ Receipts above PKR 5 Million to TIH Karachi HO as per requirement on Monthly Basis

Taxation & Tax Reporting:

  • Close liaison with supply chain and procurement department to provide value input of sales tax and withholding tax exemption available to TIH on procurement of goods and services
  • Ensuring application of correct tax percentages on deduction of withholding and sales tax for filers and non-filers
  • Ensuring deposit of WHT and Sales tax withheld on timely basis of Govt. of Pakistan treasury
  • Review of tax reporting for WHT & SST deducted for submission to Karachi HO on monthly basis

GL / Accounting System Maintenance:

  • Prepare and Update Chart of Account & Cost Centers in Accounting System as per approved budget line and GF reporting requirements.
  • Review of all system generated vouchers for their accuracy for account codes / budget lines, cost centers,
  • Updating / Maintaining GL by opening new account codes after validating the request
  • Updating / Maintaining GL by opening new cost centers after validating the request
  • Review of Access rights for Data Entry Users

Coordination with Banks / Head Office:

  • Coordination with Banks for new account openings,
  • Resolving queries CBC calls for clearance of Cheques
  • Liaison with concerned person in TIH Karachi for maintenance of proper receipt and dispatch record of payment vouchers and cheques
  • Liaison with TIH Karachi for Signing of bank cheques from signatories

Budgeting

  • Ensuring correct budget code allocation for all payments / disbursements in coordination with Sr. Grants Coordinator
  • In absence of Sr. Grants Coordinator preparation of Variance analysis reports for actual and budgeted expenses i.e. budget line item wise and provide HO reports.

Capacity Building of Finance Staff:

  • Review need for Finance Staff training by identification of weak areas.
  • Conduct inter-department capacity building exercise for new joiners.

Support to Provincial & District Offices & SRs:

  • Coordination with Provincial offices of GF Malaria Project in KPK & Baluchistan and eight district offices therein for their financial queries and providing guidance for their resolution.
  • Review of financial documentation of FPHC & BRSP as per guidelines of GF Malaria Grant along with personal visits at their respective offices

Audit Coordination & Support:

  • Act as Lead coordinator for Grant external audits
  • Coordination with Internal Audit for all Pre & Post audit issues.
  • Conduct Quarterly SR financial reviews & report findings

نوکری کی تفصیلات

کل عہدے:
1 اشاعت
نوکری کی شفٹ:
پہلا پہر
نوکری کی قسم:
نوکری کا مقام:
جنس:
کوئی ترجیح نہیں
کم از کم تعلیم:
ماسٹرز
کیریئر کی سطح:
تجربہ کار پیشہ ور
کم از کم تجربہ:
5 سال
اس سے پہلے درخواست دیجیۓ:
اپریل ۱۴, ۲۰۲۳
تاریخِ اِشاعت:
مارچ ۱۳, ۲۰۲۳
Diversity Inclusion:
We value diversity of our employees. All qualified applicants will receive fair consideration without regard to genders or socio-economic backgrounds.

Indus Hospital & Health Network

صحت کی نگہداشت / ہسپتال / طبی · 3001-3500 ملازمین - اسلام آباد

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