Key Responsibility Areas
• Research banking errors/matters;
• Performs follow-ups to ensure that errors are corrected;
• Reconcile all bank accounts;
• Reconcile other accounting records/transactions, as identified;
• Report on areas of reconciling weaknesses, errors and discrepancies;
• Certify reconciliations statements;
• Journalize all transactions;
• Research all reconciling transactions and cleared;
• Certify Weekly Statement Account payable (CTMS);
• Draft monthly expenditure reports;
• Examine financial statements for errors;
• Print and submit financial statements;
• Circulate monthly financial statements, upon authorization;
• Draft annual and quarterly expenditure reports;
• Assist with the preparation of the annual appropriation accounts;
• Draft ad hoc financial reports, as requested;
• Assist in preparing responses to Audit Queries;
• Collate Fines information received from RM Courts island wide;
• Ensures that advance balances are cleared, promptly
• Existing backlog cleared within the specified timeline;
• Requests documents for the clearing of advances;
• Files and secures Accounting records;
• Performs other duties assigned.