- Sale of admission forms and accounting.
- Manage fee collection and receipt generation.
- Prepare payroll, attendance of the staff
- Ensure completion of date entry of fees in ERP
- Making Income statement everyday
- Bank Reconciliation with ICICI
- To see arrears, cheque bounce and late fee
- Issuing duplicate fee bills of parents
- Collection of NSO Fees (Name Struck off)
- Assigning of TC Fees
- Estimating Income and calculation chart
- Rolling out of fee bills
- Taking printouts of estimated Income and calculation chart