Assist the VP of Finance in managing the operational finances for the Chapter including tracking, organizing and analyzing the
Chapter monies (the Chapter’s checking account, the Chapter’s savings account, and the Chapter’s Certificate of Deposit). Input
monthly expenses into Excel spreadsheet and coordinate filing of check requests and expense receipts. Help prepare the P & L and
Income statements using Excel to provide regular reports on the
Chapter’s financial condition at Board Meetings and Retreats.
Organize yearly paperwork of expenses and income to submit to
the external auditor. Assist in preparing the yearly budget.