Job Description



Manage school fees collection, receipting, and reconciliation



Maintain accurate financial records including cashbooks, ledgers, and fee balances



Prepare monthly, termly, and annual financial reports



Assist in preparation and monitoring of school budgets



Process supplier payments, staff salaries, and approved expenses



Handle banking activities and perform bank reconciliations



Ensure compliance with internal financial controls and school policies



Prepare financial documentation for audits and management review



Safeguard all financial documents, cash, and sensitive financial information



Work closely with the Head Teacher and management on financial planning and accountability

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