Oversee an AR staff to creating and issuing invoices and receipts for tuition fees and other fees, sending reminders to parents to follow up for the outstanding fees.
Weekly monitor AR staff to update outstanding receivables to the Principal
Prepare monthly school centre accounts and accounting schedules including bank reconciliation by Financial Year (Jan to Dec) with variance analysis
Prepare monthly YTD financial performance with in-depth variances analysis, forecast and cashflow update by Academic Year (Aug to Jul), receivables aging status and presentation to the Management.
Prepare annually budget and monthly forecast update by Academic Year.
Assist to work out the monthly school reports for FPS insurance
Involve and support in system migration to IFINANCE
Prepare journal entries for depreciation, prepayments, accruals and deferred income movements
Ensure procurement are complied with the SOP, and process suppliers invoices and staff claim payment and student fee refund within 7 days rules.
Guide AR staff payment process and bookkeeping into accounting system
Updating payment status for commission payable to the referral agents in the spreadsheet.