Oversees the receipting process in the school to document and account for monies collected from students, teachers and prepares reciprocal office receipts. Performs daily counts of student activity fund monies received by the school; prepares account deposit breakdowns and reconciles the bank deposit to the total funds receipted by the school office. Verifies teacher deposits to the receipt books to ensure that all monies are receipted to the school office. Delivers deposits to bank; makes night bank safety drops; verifies that amount credited by the bank agrees with deposit breakdowns; retrieves and safeguards bank bags. Reviews cash receipts and prepares statement of miscellaneous revenue. Enters entries for receipts, and deposits. Prepares and forward proper paper work for disbursements, and transfers of funds between school accounts, as appropriately approved; advises the Principal of imbalances in school accounts. Prepare and secure approvals for purchase orders, receives goods and materials ordered by the school, matches invoices to packing slips or receiving slips and initiates check requisitions to ensure prompt payments to vendors (within the: net payment date) for both local and district accounts. Advise the faculty and staff on proper accounting procedures to be followed for Student Activity Funds and in processing paperwork and forms to document school receipts, deposits, and disbursements; resolve questions from school principal, faculty and staff pertaining to Student Activity Funds. Compiles and processes school Student Activity Funds budgets and fundraiser requests. Maintain Student Activity-Fund reference library and filing system for documenting financial transactions; prepares monthly, quarterly and annual Student Activity Funds Financial Reports. Service District Office Accounts when integrated with Student Activity Fund accounting duties. Oversee monies donated/awarded to school for (district and or local) accounts. Monthly/quarterly balance sheets on district accounts. Prepare requisitions for office supplies and disbursement encumbrances. Order, process and maintain office materials and equipment. Maintain teacher attendance and personnel information and submit reports. Keeps daily balance of cash on deposit in operating bank account. Reconciles the cashbook account with the ledger at end of each month. Key operator for office equipment and calls for service when necessary. Performs other duties as may be assigned by the Principal.
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Job Type
Full-time
Career Level
Mid Level
Education Level
High school or GED