Preparation of Annual Financial Statements.
Preparation of Cashbook and Monthly Bank Reconciliation Statement.
Preparation of Monthly Staff Payroll, Staff Pension Contribution Schedules, P.A.Y.E Schedules.
Collection of school fees tellers & issuing of receipts.
Raising of Payment Vouchers & issuing of Cheques to suppliers, Clients,Vendors, Service providers etc.
Budgeting & budgetary Control.
Accounting Operations and Financial Planning
Provision of Capital and Administration of Funds.
Protection of Assets.