
Duty Station: Kalisizo
Location: Kyotera, Uganda
Categories: Senior Accountant
AMBSO conducts a wide range of activities of public health interest including clinical research, community-based health surveillance research; programs for health care service delivery and capacity building for health care and community health workers.
Job Summary
The Accountant will support the finance section to accomplish its activities on a timely basis. S/he will undertake projects budgeting and expenditure monitoring in accordance with generally acceptable accounting principles and donor contractual requirements, as guided by the AMBSO Financial policy. S/he will also serve as both the financial management and compliance resource to the projects staff.
Key duties and Responsibilities
Manage study budgets, expenditure monitoring, financial reporting and contractual matters to ensure timely and effective implementation of AMBSO activities.
Budgeting and Accountability:
- Support the annual and other periodic budget preparations for the organization.
- Execute budget management and monitoring
- Lead the process of drawing annual work plans with a focus on budget preparations
- Establish appropriate unit costing by aligning activity budgets to the work plans.
- Develop monthly tracking tools to facilitate checking of donor compliance in respect to budgets utilization and ensure that thresholds are adhered to.
- Reconcile the project finances and grants and ensure that all costs are linked to the grants.
- Monitor budget utilization and communicate any relevant budgetary issues.
Cash disbursements:
- Ensure timely advance of funds to facilitate project implementation as well as safe custody of all cash funds in line with AMBSO’s Financial Policy.
- Review and process day to day financial requests (payments, receivables, accountabilities) in accordance with IFRS/IAS and AMBSO institutional policies.
- Ensure timely receipt of accountabilities for all funds disbursed for field activities and other payments with support documents i.e. receipts, LPOs Vs GRNs, signature sheets etc.
- Assist and/or lead with cash flow management and periodic bank reconciliation and other balance sheet items.
- Ensure that a clear and transparent paper trail is adhered to for all financial transactions, and that all filing and archiving is done in line with the institution and donor requirements.
- Perform month-end-closure of transactions (i.e. posting of entries, allocation of shared expenses, and completion of adjusting entries) with accuracy and complete the supporting documents.
- Perform weekly physical Petty Cash count to ensure that the Excel cash book tallies with electronic cash book.