The Project Accountant supports the Project Manager and the Director of Programmes in ensuring compliance with all the SIDA contractual obligations in procurement, financial reporting, budget management and staff time allocations for Heifer International and its partners in implementing the contract agreement. The Project Accountant also prepares the project donor reports for review by the Project Manager and the Director of Programmes and Finance Director prior to submission to the donor.
Tag: Project Accountant Job
The Project Accountant reports to the Project Manager and is primarily responsible for all the accounting, financial management, budget and reporting functions for the Hatching Hope Project (HHK). The Project Accountant plays a significant role in strengthening of core global systems by ensuring proper accounting, maintaining systems of accountability, processing of accounting information, internal and external financial reporting, cash and bank account maintenance and other financial tasks, tracking Catalytic leverage Funds (CaLF) for the project as assigned by the Project Manager.
The position reports to the Country Finance Manager with interaction with the Home Office International Finance Team and the SCOPE Finance and Operations Manager located in Baltimore.
Knowledge on the use of QuickBooks is a mandatory requirement and you must be conversant in using i-Tax.
We are looking for an accountant with experience in project accounting and reporting.
The Project Accountant works with the Nairobi based Country Team, and receives hierarchical supervision from the Finance and Administration Officer (FAO).
Managing the project budget and grant reporting,
Kimetrica is currently seeking is a Project Accountant who will be responsible for Kimetrica’s accounts in Kenya.
Ensuring the financial integrity of the project, overseeing a budget of around £ 3,751,715.00 for the PFA project and 1282185 USD (716500 USD for Gates Project and 565685 USD for Hewlett).
To provide support to the Kenya office accounting function through management of the General ledger records; compiling monthly accruals; processing and posting month end adjusting journals; compilation of periodic project expenditure reports and management of Duty & Tax exemption processes.