Second floor of the directorate wing

Director: Szekanecz Tímea

Work schedule: Monday–Friday 7.00 a.m.–3.00 p.m.
Phone number: 48/574-410; 48/574-407; 48/574-459
Fax: 48/574-401

The tasks of the Financial Department can be divided into two major parts: on the one hand it consists of financial type tasks, on the other hand tasks of accounting nature.

The main financial type tasks are the arrangement of the hospital’s bank- and cash flow, registering the contracts, billing, handling incoming bills, preparing the VAT statement, registering the obligations and claims and preparing specific registers and data services of economic nature.

Accounting related tasks of the department: planning and compilation of the annual budget, general ledger accounting of the economic events related to the operation of the institute, preparation of budget reports, quarterly balance, annual budget report and other data services correspondent to legislative regulations.