The Finance Officer facilitates the efficient and effective financial and defined operational duties of FilmAid Kenya programmes. He/She ensures compliance with FilmAid Kenya Accounting and Finance policies and procedures, as well as grants contracts under the guidance and oversight of the Finance Manager.
Key Performance Indicators:
Ensuring timely end-month closure, which includes data input, bank and petty cash reconciliations, journal entries, accounts payable, and receivable reconciliations.
Ensuring a smooth process and conclusion of the statutory audit and donor desk reviews
Provide support and training for program staff in the preparation of payment and petty cash vouchers and other related finance transactions such as travel accountability, interpretation of financial reports through regular visits, communication, and continuous staff on-job training.
Developing a clear filing system for all documents and tracking system for payments including the vendor balance reconciliation.
Timely submission of donor and internal reports to the Finance Manager for review
Checking, correcting, and ensuring proper authorization and documentation for all location's transactions before inputting in Quick Books
Key Duties
FINANCE
Book Keeping and Accountancy:
Ensuring timely and complete collection of monthly financial returns and documents.
Receive Invoices from the Admin Officer and Procurement Officer and place requests for billing and subsequently place cheque/payment requests.
Review petty cash vouchers and related backup documents for approval by the Finance Manager and managing Petty cash as needed.
Prepare and maintain monthly QuickBooks entries includingData input,reconciliations, andreportingof all program/project financial transactions, including deposits, disbursements, and receipts for their specific program. This will be completed on a monthly basis.
Posting of the location's budgets and entries, in a timely and accurate manner.
Maintain communication and ensure timely payment of suppliers as well as obtain relevant documentation for transaction backup.
Coordinate financial planning and budget projections and regular budget revisions.
Provide recommendations for cost allocation for all location's budgets
Provide support and training for program staff in the preparation of payment and petty cash vouchers and other related finance transactions such as travel accountability, interpretation of financial reports through regular visits, communication, and continuous staff on-job training.
Update and review various account reconciliations to ensure their correctness and give guidelines on how to resolve any differences. I.e. bank and system reconciliations.
Checking all programme's cash payments to ensure accuracy and that all amounts are accounted for.
Discuss and prepare the necessary documentation for credit account opening with suppliers
Coding and posting journal voucher entries into the general ledger
Filing and making payments for the statutory deductions in good time.
System Implementation
Monitor, reinforce, and advise on the improvement of financial internal control systems
Implement and maintain FilmAid's financial management strategies
Develop and maintain a clear filing system for documents
Develop and maintain a clear tracking system for payments
Checking, correcting, and ensuring proper authorization and documentation for all location's transactions before inputting in Quick Books
Audits
Lead donor reviews for location programs
Assist in preparing for internal and external statutory audit
Financial Reporting
Draft the location's financial reports to local and international donors and submit them to the Finance manager
On a monthly basis, meet with the field location's Operations Officer to review the budget to actual reports to ensure the propriety of information
Report regularly on the financial status of the location's programmes
Cash Management
Review and submit monthly cash projections from the location's Operations Officer based on work plans to the Finance Manager
Ensure timely funds transfer of funds to the projects and for Administration
Regular review and monitoring of accounts payable, Accounts receivable, and petty cash functions
Monthly reconciliation of all bank accounts and Country Office Administration
Qualification – Essential Skills and Experience
Bachelor of Commerce or Finance; Business Administration, or any relevant discipline
Qualification in certified public accounts (CPA) or Association of Chartered Certified Accountants (ACCA)
At least 3 years' experience in finance preferably with a humanitarian organization
Commitment to humanitarian principles and action