Conduct a preliminary review of the master assets register & registers from the field offices.
Review and reconcile the master assets register with the asset registers from all Plan Nigeria field offices. Identify double entries, verify with the respective offices and corrected.
Reconcile the master asset register with the financial smart list of all PIN projects, both running and closed projects. Tin clude missing information not limited purchase date, supplier name, cost of acquisition, project, etc.,
Provide a list of all assets identified in the master asset register and those not physically confirmed available.
Provide a list of all assets identified in the financial smart list and not available either in the master asset register or physical.