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Account Division


  • Ensure all payments, receipts and emoluments are processed according to the schedule;
  • Accounting for all transactions of assets, liabilities, payments and receivables in accordance with MPSAS in force;
  • Ensure financial reports and statements are prepared for use by KeTSA financial management;
  • Provide accounting and financial advisory services to KeTSA in accordance with applicable financial regulations and accounting standards; and
  • Monitor financial and accounting management at KeTSA  to comply with applicable regulations for assets, liabilities, receipts and payments.


  • Ensure accounting information is provided accurately and within a specified time period;
  • Provide accounting and financial management advice and accounting systems; and
  • Provides information and reports, and advises top management in decision making.