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- ...accounting by the COOPI procedures and those of the donor guidelines. Ensure the correct management of the project cash (cashbox and bank) and in particular the monthly reconciliation under the supervision of the Project Administrator; Process vendor payments and...
- ...operations of the office by handling routine financial, administrative, and accounting tasks. This includes tasks like payment verification, bank reconciliations, expenditure monitoring, and financial reporting, ensuring accuracy and compliance with LABDI financial regulations....