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Job Description
- Coordinate a master cash in/cash out plan with finance, operation, and procurement teams.
- Follow up cost control processing to optimize the cash-out and report budget issues.
- Update the budget, margin &invoices and compare them with the baseline.
- Prepare monthly analytical reports for the budget variances, costs, revenues, and achievements.
- Review and ensure that all projects financial documents are correct.
- Issue a monthly report including the actual results compared with the target.
- Review the project's documentation specially the P&L calculation in the organization's system.
- Prepare and update cash in/out for all projects on a monthly bases.
Job Requirements
- 3-5 years of experience, Experience in Non-profit organization and national societies is an added value
- BSC. in Accounting
- Sound financial management, controlling and monitoring skills
- Essential computer literacy (word, excel and internet)
- Fluency in English with excellent verbal and written communication skills.