Functions of the office
Designs, formulate and reviews financial procedures to be followed in the financial management and control of the Institute for approval by the DG or Board.
Controls monetary resources and submits cash flow statements on the institute activities as required.
Ensures and supervises preparation of monthly trial balances, annual accounts, balance sheet and the annual recurrent budgets.
Heads and coordinates plan and supervises Staff and activities in the finance section including stores operation.
Responsible for managing external audit services
Performs any other duties that may be assigned by the relevant authority.
To render financial and technical advisory role to the Director General
To ensure actualization of the Institute’s mandate.
To act as intermediaries between the institute and external bodies on financial matters