• Maintain daily records of financial transaction in simple and account packages (software)
• Manage, develop, and maintain all aspects of accounting, data processing of the institute and its centers.
• Working on financial transactions of various banks
• Maintain and prepare budget reports, preparing periodic reports that compare budgeted costs to actual costs.
• Maintain manual reports of cash receipts, petty cash and cheques issue to the vendors
• Inspect account books and accounting system of the center
• Organize and maintain financial records
• Maintain records of vendor payments
• Maintain income and expenditure records of projects