24 March 2025
Banking Arrangement
The Delegation of Signatories procedure and the Designating Signatories for Zero Balance Accounts procedure are now available in Spanish:
21 March 2025
Cash Management
The Preparation and Review of Automatic Bank Account Reconciliation procedure and the Preparation and Review of Manual Bank Account Reconciliation procedure are now available in French and in Spanish:
Cash Arrangement
The Conditions for Cash Operations procedure is now available in French and in Spanish.
Cost Recovery from Programmes funded by Regular and Other Resources
The Cost Recovery from Other Resources - GMS procedure is now available in French and in Spanish.
20 March 2025
Expense Management
The Accounts Payable procedure is now available in French and in Spanish.