Lead custody for accounting records and documents;
Lead the preparation of students’ fees, bills and reconcile bank slips of fees;
Guide the preparation of tax payments and returns and keep records thereof;
Take responsibility for posting financial transactions, cashbooks and subsidiary ledgers to general ledger and update books of accounts;
Supervise entering of transactions into the commitment control register;
Chief custodian of cash and imprest and effecting payments;
Prepare and submit monthly reconciliation reports.
Perform any other duty as assigned by supervisor.
  • Accounting