FINANCE AND ACCOUNTS UNIT

OBJECTIVE

To provide financial management and bookkeeping service to the office of Tanzania cooperative commission.

The unit will perfume the following activities

SALARIES

Preparation and payment of salaries

Proper payroll management and

 Budget for personal emoluments

CASH OFFICE

Submission of voucher list of treasury

Collection of all cheaque from treasury

Banking cash and cheaque

Preparation of monthly flash report

Payment of cash/cheaque to employees/ customer (service provider)

Batching of paid vouchers

Maintenance of cash book

Preparation and effecting all payments

Maintenance and custody of accountable documents and records

Maintenance of imprest register

Preparation of imprest payment and list of imprest holder and

Batching of payment voucher

REVENUE

Collection of all revenue

Manage the revenue according to regulations and guidelines

Maintained of revenue records

Supervision of revenue collection and

Preparation of bank reconciliation statements

 

FINANCE AND VOTE BOOK

Follow up and distribution of exchequer issue notification

Maintained of vote book for the sub votes

 Preparation of payment vouchers

Preparation and remittance of warrant funds to the up country stations

Allocation of fund and

Preparation of interim financial reports

 

PRE – AUDITING/EXAMINATION/AUDIT QUERIES

1.Examination of payment voucher and supporting document to ensure proper documentation and authorization according to financial laws

2. Ensure proper documents to support vouchers including authorization according to regulation

3. Ensure Adherence to relevant act regulation and circular

4. Reply all audit quarries raised during the previous financial year and

5. Monitor expenditure

 

AUDIT QUERY

Maintenance of audit query register

Reply all audit queries raised during previous financial year

Consolidation of audit query reply and other audit report

 Maintenance of loss register and

Preparation of loss reports

 

 

COMPUTER ROOM AND FINAL ACCOUNTS

Post and approval of receipt and payments in the system

Dealing with adjustment of errors in the system records

Prepation of final accounts and

 Reconciliation of accounts with treasury

The unit will be led by Chief Accountant