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1. Keeps the accounts of the Association and prepares its budget following the directives of Council and the President.
2. Collects all fees and dues owed to the Association, issues receipts and makes relevant bank deposits.
3. Keeps in his charge a petty cash account to the amount approved by Council.
4. Keeps Register of Members subscriptions and other fees.
5. Presents accounts for audit to any auditors that Council may decide to appoint.

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