· Manage weekly invoices and cheque requests for issuing and printing of Accounts Payable cheque runs
· in the ACCPAC accounting system
· Manage all Wire payment requests with the Controller each week
· Review and update our Cash Receipts file for all EFT bank deposits from customers, commission
· Payments from suppliers and notify all program managers of payments
· Complete all bank deposits and do all physical deposits at bank
· Process all credit card request and refunds
· Process all Cash requisitions, arrange pick up from bank, distribute to proper parties
· Filing and maintaining all records and documents weekly