Higher Education Fund Unit
This unit consists of the following positions:
- Accountant: Responsible for preparing trial balances, preparing expenditure vouchers, posting daily records, reconciling and monitoring bank statements, and following up on tuition fee payments for diploma, master’s, and doctoral students under the self-financing scheme.
- Auditor: Responsible for auditing the general daily ledger and fund ledger, verifying bank reconciliation, and reviewing the balance of expenses and revenues.
- Treasurer: Responsible for receiving payment receipts from students, posting entries in the general daily ledger, collecting and depositing funds into the bank, monitoring and reconciling petty cash advances, and following up on student installment payments in addition to handling the unit’s administrative
