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Posts accounting data by hand or by computer data entry in the cash journal on a daily basis.
Reconciles all revenues collected on a daily basis.
Checks balances against accounting receipt records.
Maintains trial balance.
Prepares bank account deposit documents and confirms deposit totals. May make bank account deposits.
Coordinates witness and jury fee process.
Coordinates the accounting of bail money, including recording money received, returned or forfeited.
Maintains bank accounts related to civil and criminal matters.
Completes end of the month closing process and disburses revenues and other funds to the appropriate entities.
Qualification and Requirement:
Must possess minimum of OND, NCE, HND, B. sc in social and management science, humanities, marketing, supply and purchase, education, co operative management, or any other related discipline from recognized institution.