Accountant job at British High Commission
Posted by: great-volunteer
Posted date: 2026-Apr-11
Location: Kampala
Accountant 2026-04-10T18:48:30+00:00 British High Commission https://cdn.ugashare.com/jsjobsdata/data/employer/comp_1388/logo/British%20High%20Commission.jpeg https://www.ugashare.com/jobs/ FULL_TIME Kampala Kampala 00256 Uganda Public Administration, and Government Accounting & Finance 2026-04-17T17:00:00+00:00 8 Description The British High Commission is hiring an Accountant responsible for providing efficient and effective accounting service to the British High Commission in Kampala (BHC) working as part of the Finance team to ensure that all the accounting processes and procedures at Post are in compliance with FDCO Financial Policies and Regulations. Geographic Reference Salary: UGX 61,507,248/= Key Duties and Responsibilities: - Support budget holders and staff to enhance compliance with GTPC guidelines for Distribution Sets, Invoices, Debit and Credit memos, Miscellaneous receipts, and Network Post Accounts (NPAs), and to enhance compliance with UK accounting procedures including correctly accounting for spend and reducing the risk of fraud.
- Lead on ensuring that balance sheet accounts are reconciled on a regular basis to verify that all items have been correctly posted and matched using the Transactions Available for Reconciliation (TAR) report.
- Prepare prompt and accurate periodic reports on the Network Post Accounts (NPA), Imprest Audit Returns (IAR), Bank Account Audit reports and Tax Reconciliation reports, to support effective management decision making. Maintain policies and procedures to ensure the integrity and timeliness of reports.
- Ensure that end-of-month procedures including the investigation and resolution of items on the Invoice on Hold (IOH) report are implemented, to uphold excellent Financial Performance and Compliance Indicator scores (FPCIs) for Post.
- Conduct Value For money (VFM) verification checks on documents submitted for each transaction â whether cash or Purchase to Pay (P2P), processing payments in adherence to GTPC guidelines.
- Manage Cash Office and ensure that sufficient funds are available for Post cash needs, and Preliminary Payment files are promptly verified and approved.
- Lead on the Post relationship with GTPC and be the first point of contact for queries on transactions at Post.
- Ensure staff debts are promptly collected and reconciled, flagging to the Finance Manager any gaps in staff debtors, local cash management and controls, and cash funding forecasts.
- Monitor Postâs liquidity levels and prepare Postâs funding forecast and funding request for the entire financial year and supply to the regional account manager for implementation.
- As a cover for the CSO finance Officer, submit Payroll data to the Global Transaction Processing Centre (GTPC) for processing, and effect statutory payments (NSSF).
- Manage Postâs bank relationships and be the first point of contact for queries, to ensure that bank requirements are met including facilities, signatories, routine correspondences and emergency engagements. Monitor bank accounts daily and reconcile bank statements promptly.
- Manage Uganda Revenue Authority (URA) relationships and be the first point of contact for queries and engagements on BHC tax returns. Coordinate and supervise the processing of VAT and Fuel duty returns for Post, process transfers of tax refunds for individual diplomats.
- Support the Finance Analyst on Finance processes including Office and implementing partner finance spot checks, due diligences, and mock internal audits.
- Engage in cross cutting Finance team activities at Post including Annual Budgeting exercises, Gap Analysis assessments and Finance Clinics.
Qualifications, Skills and Experience: - A University or technical college degree in Accounting, Finance, Business Administration or 3 years professional working experience with a focus on finance and accounting.
- Can present financial information clearly both verbally and in writing to support organizational decision making.
- Contributes to the development of systems and processes to meet business needs and user requirements.
Language requirements: - Language: English
- Level of language required: Proficient
Desirable qualifications, skills and experience - Professional experience in the use of Microsoft Office especially Excel and ERP based accounting systems
- Evidence of strong organizational and time management skills with excellent attention to detail
- Evidence of strong interpersonal and communication skills
Required behaviours - Delivering at Pace, Managing a Quality Service, Working Together
- Support budget holders and staff to enhance compliance with GTPC guidelines for Distribution Sets, Invoices, Debit and Credit memos, Miscellaneous receipts, and Network Post Accounts (NPAs), and to enhance compliance with UK accounting procedures including correctly accounting for spend and reducing the risk of fraud.
- Lead on ensuring that balance sheet accounts are reconciled on a regular basis to verify that all items have been correctly posted and matched using the Transactions Available for Reconciliation (TAR) report.
- Prepare prompt and accurate periodic reports on the Network Post Accounts (NPA), Imprest Audit Returns (IAR), Bank Account Audit reports and Tax Reconciliation reports, to support effective management decision making. Maintain policies and procedures to ensure the integrity and timeliness of reports.
- Ensure that end-of-month procedures including the investigation and resolution of items on the Invoice on Hold (IOH) report are implemented, to uphold excellent Financial Performance and Compliance Indicator scores (FPCIs) for Post.
- Conduct Value For money (VFM) verification checks on documents submitted for each transaction â whether cash or Purchase to Pay (P2P), processing payments in adherence to GTPC guidelines.
- Manage Cash Office and ensure that sufficient funds are available for Post cash needs, and Preliminary Payment files are promptly verified and approved.
- Lead on the Post relationship with GTPC and be the first point of contact for queries on transactions at Post.
- Ensure staff debts are promptly collected and reconciled, flagging to the Finance Manager any gaps in staff debtors, local cash management and controls, and cash funding forecasts.
- Monitor Postâs liquidity levels and prepare Postâs funding forecast and funding request for the entire financial year and supply to the regional account manager for implementation.
- As a cover for the CSO finance Officer, submit Payroll data to the Global Transaction Processing Centre (GTPC) for processing, and effect statutory payments (NSSF).
- Manage Postâs bank relationships and be the first point of contact for queries, to ensure that bank requirements are met including facilities, signatories, routine correspondences and emergency engagements. Monitor bank accounts daily and reconcile bank statements promptly.
- Manage Uganda Revenue Authority (URA) relationships and be the first point of contact for queries and engagements on BHC tax returns. Coordinate and supervise the processing of VAT and Fuel duty returns for Post, process transfers of tax refunds for individual diplomats.
- Support the Finance Analyst on Finance processes including Office and implementing partner finance spot checks, due diligences, and mock internal audits.
- Engage in cross cutting Finance team activities at Post including Annual Budgeting exercises, Gap Analysis assessments and Finance Clinics.
- Can present financial information clearly both verbally and in writing to support organizational decision making.
- Contributes to the development of systems and processes to meet business needs and user requirements.
- Professional experience in the use of Microsoft Office especially Excel and ERP based accounting systems
- Evidence of strong organizational and time management skills with excellent attention to detail
- Evidence of strong interpersonal and communication skills
- A University or technical college degree in Accounting, Finance, Business Administration or 3 years professional working experience with a focus on finance and accounting.
JOB-69d945fe14b74 Vacancy title: Accountant Jobs at: British High Commission Deadline of this Job: Friday, April 17 2026 Duty Station: Kampala | Kampala Summary Date Posted: Friday, April 10 2026, Base Salary: Not Disclosed JOB DETAILS:
Description The British High Commission is hiring an Accountant responsible for providing efficient and effective accounting service to the British High Commission in Kampala (BHC) working as part of the Finance team to ensure that all the accounting processes and procedures at Post are in compliance with FDCO Financial Policies and Regulations. Geographic Reference Salary: UGX 61,507,248/= Key Duties and Responsibilities: - Support budget holders and staff to enhance compliance with GTPC guidelines for Distribution Sets, Invoices, Debit and Credit memos, Miscellaneous receipts, and Network Post Accounts (NPAs), and to enhance compliance with UK accounting procedures including correctly accounting for spend and reducing the risk of fraud.
- Lead on ensuring that balance sheet accounts are reconciled on a regular basis to verify that all items have been correctly posted and matched using the Transactions Available for Reconciliation (TAR) report.
- Prepare prompt and accurate periodic reports on the Network Post Accounts (NPA), Imprest Audit Returns (IAR), Bank Account Audit reports and Tax Reconciliation reports, to support effective management decision making. Maintain policies and procedures to ensure the integrity and timeliness of reports.
- Ensure that end-of-month procedures including the investigation and resolution of items on the Invoice on Hold (IOH) report are implemented, to uphold excellent Financial Performance and Compliance Indicator scores (FPCIs) for Post.
- Conduct Value For money (VFM) verification checks on documents submitted for each transaction â whether cash or Purchase to Pay (P2P), processing payments in adherence to GTPC guidelines.
- Manage Cash Office and ensure that sufficient funds are available for Post cash needs, and Preliminary Payment files are promptly verified and approved.
- Lead on the Post relationship with GTPC and be the first point of contact for queries on transactions at Post.
- Ensure staff debts are promptly collected and reconciled, flagging to the Finance Manager any gaps in staff debtors, local cash management and controls, and cash funding forecasts.
- Monitor Postâs liquidity levels and prepare Postâs funding forecast and funding request for the entire financial year and supply to the regional account manager for implementation.
- As a cover for the CSO finance Officer, submit Payroll data to the Global Transaction Processing Centre (GTPC) for processing, and effect statutory payments (NSSF).
- Manage Postâs bank relationships and be the first point of contact for queries, to ensure that bank requirements are met including facilities, signatories, routine correspondences and emergency engagements. Monitor bank accounts daily and reconcile bank statements promptly.
- Manage Uganda Revenue Authority (URA) relationships and be the first point of contact for queries and engagements on BHC tax returns. Coordinate and supervise the processing of VAT and Fuel duty returns for Post, process transfers of tax refunds for individual diplomats.
- Support the Finance Analyst on Finance processes including Office and implementing partner finance spot checks, due diligences, and mock internal audits.
- Engage in cross cutting Finance team activities at Post including Annual Budgeting exercises, Gap Analysis assessments and Finance Clinics.
Qualifications, Skills and Experience: - A University or technical college degree in Accounting, Finance, Business Administration or 3 years professional working experience with a focus on finance and accounting.
- Can present financial information clearly both verbally and in writing to support organizational decision making.
- Contributes to the development of systems and processes to meet business needs and user requirements.
Language requirements: - Language: English
- Level of language required: Proficient
Desirable qualifications, skills and experience - Professional experience in the use of Microsoft Office especially Excel and ERP based accounting systems
- Evidence of strong organizational and time management skills with excellent attention to detail
- Evidence of strong interpersonal and communication skills
Required behaviours - Delivering at Pace, Managing a Quality Service, Working Together
Work Hours: 8 Experience in Months: 36 Level of Education: bachelor degree Job application procedure
Application Link:Click Here to Apply Now
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