Assist Finance Team in the coordination and preparation of timely monthly reporting package submission and follow-up of reclassifications to HQ.
Oversee the maintenance of all accounting records, ensuring that records are complete, accurate and safeguarded.
Train and support finance officers to reduce coding errors, including answering daily questions, training new hires, making field visits, etc.
Monitor cash and bank balances and coordinate cash flow requests from program teams to ensure accuracy.
Assist the Senior Finance Manager in responding to audit inquiries.
Manage the month end accounting close process, ensuring the accuracy and completeness of the documents and posting of entries are done on a timely manner,
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