Budget & Finance
· Prepares the annual budget and its amendments. Registers and updates the authorised budgets in the system;
· Reviews and ensures eligibility and accuracy of invoices, debit notes, credit notes, missions advances, missions claims and other reimbursements requests received from internal and external parties;
· Registers/creates orders in the Financial Report Management tool by ensuring the chronological receiving dates of invoices and receipts;
· Creates payment/revenue records when payments become due by ensuring correctness of budgetary, non-budgetary and analytical codes. Reviews and ensures that required supporting evidences are attached to the payment/revenue orders before submitting to relevant financial actors as per the financial circuit;
· Prepares bank and petty cash disbursements to DG ECHO staff and suppliers. Ensures that recipients acknowledge receipt of the payments and receipts are properly issued to DG ECHO;
· Ensures that payment/revenue orders and all required supporting documents are properly filed;
· Reviews the draft monthly financial reports before closure to ensure consistency and accuracy of financial transactions. Prepares adjustments transactions if needed. Performs bank and petty cash reconciliations and submits the data file before closing to the AC (Administrative Coordinator) for review;
· Performs monthly financial closures and prepares reports as well as annexes as per DG ECHO procedures;
· Reviews and ensures that all outstanding non-budgetary accounts are correctly brought forward from the previous months;
· Follows-outstanding cash advances and mission claim regularisations;
· Prepares the calculations and follow-up and collects cash from staff, within appropriate timeline, for private usages of telephone, fax, vehicle and airfare for the portion due by the staff in the case of mission combined with leave;
· Calculates the allowance for arrival and departure temporary accommodation for TAs (Technical Assistants);
· Conducts cash count at least once a week to reconcile cash balance;
· Prepares and monitors on weekly basis the monthly cash position and forecast reports. Ensures sufficient level of funds in bank accounts and petty cash box to meet payment obligations;
· Maintains the petty cash boxes, cheque books and ensures security precautions;
· Ensures that bank account statements are updated and accounts replenished. Monitors bank accounts and maintains bank documentation;
· Maintains the budget forecast tool;
· Checks the calculation of medical reimbursement and proceeds with the payment;
· Manages financial records/reports archive.
Specific duties for the senior level Administrative and Financial Assistant
· Controls and verifies the payments/transfers preparation and execution;
· Assists and verifies the monthly follow up of the office and TA's budgets updates;
· Provides training and coaching newly recruited staff working on budget & finance.
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