Regional Accounts Officer (Contractual)

Regional Accounts Officer (Contractual)

  July 7, 2026   

Regional Accounts Officer (Contractual)

Published
July 8, 2026
Category
Job Type
Departments
Finance
Gender
Male
Age
24 +
Expected Travel
Limited
Field of Interest
Finance
Location
Lahore
Country
Pakistan
State
Punjab

Description

  • Make Bank reconciliation at regional level.
  • Monitor TCF SMA daily transactions.
  • Check School Subsidies from SMS [School Management System].
  • Record keeping of regional accounts.
  • Daily mail record of regional accounts.
  • Apply accounting principles to analyze financial information and prepare financial reports by compiling information, and utilizing appropriate accounting & internal control procedures in north region.
  • Preparation and submission of monthly expenditures report to Regional Accounts Manager for financial analysis.
  • Monthly closing of Region office imprest, Area Manager Imprest, Area office imprest, Fuel & Schools Petty cash expenditures.
  • Assist Regional Accounts Manager in the preparation of Schools surplus/deficit report.
  • Making payments to vendors through cheques after withholding tax deductions as per FBR policy.
  • Assist Regional Accounts Manager in preparing annual budgets and coordinate with department heads for timely and accurate completion of department budgets.
  • Compile annual budget estimates submitted by departments and conduct variance analysis.
  • Closing of Budgets/Advance funds received from Head office on timely basis.
  • Involved in the preparation and submission of system generated PR to Head office after Regional Manager Approval.
  • Maintaining cash book, bank book & general ledger.
  • Assist Regional Accounts Manager in performing monthly accounts reconciliation with the financial records maintained at Area level.
  • Identifying and rectifying issues at area level through emails & phone calls.
  • Follow up the status of funds approved from head office through emails & phone calls.
  • Receipt of cheque books and bank statement from bank.
  • Preparation of request letter in order to receive bank statement from company’s bank.
  • Management of region office petty cash for daily expenses.
  • Ensuring cash to be placed in safe custody.
  • Performing reconciliation of physical cash with cash balance as per cash book to ensure accuracy.
  • Ensuring schools and areas receive monthly reimbursements/funds on time.

Required Skills

  • Proficiency in using computer (MS Office, Internet etc.)
  • Knowledge of finance, accounting, budgeting, and cost control principles including Generally Accepted Accounting Principles & International Accounting & Auditing Standards
  • Knowledge of financial and accounting software applications
  • Knowledge of govt. and state financial regulations.

Education

Bachelor's in Accounting & Finance

Experience

1+ year of relevant experience

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