Want to have a challenging position in national or multinational organization compatible with my studies, interest and my professional skills.
Posting of Admission Forms in Software.
2- Maintain Record of Daily Admission and Students Strength Report.
3- Maintain Record of Students Program Change, Section & Subjects Change.
4- Monthly Bank Reconciliation.
5- Other task assigned by management.
THE EDUCATORS-A Project of the Beaconhouse School.
To prepare reconciliation with campus regarding receivables as per schedules.
To correspond with bank for bank statement, deposits and payments etc.
To deposit revenue receipts from the campuses.
To deposit Cheque received from Head Office regarding Imprest, other advances.
To ensure timely collection of bank statement, Monthly Bank Reconciliation and bank wise summery of recovery, reported to HO.
To ensure bi monthly billing preparation and send to NWAs.
To maintained royalty billing module, record of receipt, cheques and adjustment.
To maintained and update students data with NWAs.
To initiate the campuses bank account opening process with the designated banks and to coordinate the parallel bank account opening process with banks for revenue collection & close of accounts when required.
To maintained campuses record, HO Correspondence file, IMPREST, MIS, Campuses files for information.
To maintained record of royalty and Franchise Fee.
To maintained reconciliation record.
Other task assigned by management of Region and HO.