Revenue reconciliation ➢ Maintenance and Updating fuel registers ➢ Petty Cash book maintenance and preparation ➢ Fuel register maintenance and preparation ➢ Preparation of statutory deduction such as PAYE,NSSF and NHIF for remittance ➢ Preparation of monthly reconciliation of creditor accounts and clear all issues by next period ➢ Ensuring all invoices received in the Authority are delivered to accounts payable ➢ Compiling and analyzing financial information so as to prepare financial statements including monthly and annual accounts ➢ To maintain an updated register to track movements of all the invoices received in the business until paid and file