Regional Senior Accountant
Number of Position: One(1)
Duty Station Head office , Finfine
Major Responsibilities:-
- Perform the preparation and analysis of monthly financial management reports.
- Prepare, maintain and control, financial report and is responsible for subsidiary accounting records involving a variety of transactions and accounts on Peachtree accounting software.
- Processing financial transactions in a daily basis.
- Perform monthly income and expenditure statement and balance sheet account reconciliation and analysis for review by finance manager.
- Prepare and distribute financial reporting information monthly, quarterly and annually for donors and management.
- Provides technical support to outside staff and Head Office.
- Maintains the various ledger accounts including reconciliation of different general ledger such as revenue accounts, expenditures, and balance sheet accounts
- Review accounting documents to ensure accuracy of information and calculations and make or direct correcting entries.
- Prepare Monthly Bank reconciliations.
- Support the year end procedure and preparation for external audit.
- Responsible in preparing and reviewing all the supporting documents for the finance transactions to ensure full compliance with internal audit and organization requirements,
- Commits to support all the efforts of the ODA to prevent and respond to SEA allegations: adhere to the ODAs code of conduct,
- Perform related duties and responsibilities as assigned by immediate supervisor.
II. For Job Title: Accountant
Number of position : 1 (one)
Duty Station : ODAA Adama Tower, Adama
Major Responsibilities
- Perform the preparation and analysis of monthly financial management reports.
- Prepare, maintain and control, financial report and is responsible for subsidiary accounting records involving a variety of transactions and accounts on Peachtree accounting software.
- Processing financial transactions in a daily basis.
- Perform monthly income and expenditure statement and balance sheet account reconciliation and analysis for review by finance manager.
- Prepare and distribute financial reporting information monthly, quarterly and annually for donors and management.
- Provides technical support to outside staff and Head Office.
- Maintains the various ledger accounts including reconciliation of different general ledger such as revenue accounts, expenditures, and balance sheet accounts
- Review accounting documents to ensure accuracy of information and calculations and make or direct correcting entries.
- Prepare Monthly Bank reconciliations.
- Support the year end procedure and preparation for external audit.
- Responsible in preparing and reviewing all the supporting documents for the finance transactions to ensure full compliance with internal audit and organization requirements,
- Commits to support all the efforts of the ODA to prevent and respond to SEA allegations: adhere to the ODAs code of conduct,
- Perform related duties and responsibilities as assigned by immediate supervisor.