I would like to join a company that provides me an environment of continuous growth in knowledge, experience and skill for mutual benefits. To use my skills and potential to assist an organization in achieving its goals with seeking long term career with optimum growth. This objective would be supported by my qualification and related work experience.
Improves financial status by analyzing results; monitoring variances; identifying trends; recommending actions to management. Reconciles transactions by comparing and correcting data. Maintains database by entering, verifying, and backing up data.
Perform bank reconciliation at the end of every month.
Maintaining financial records and book-keeping.
Administer accounts receivable and accounts payable.
Preparation of tax computations and returns.
Review and process expense reports.
Preparation and coordination of the audit process.
Monitor Banking activities of the organization
Preparing financial statements for external purpose and management accounts for internal purposes.
• Analyzing & interpreting financial transactions and financial statements (e.g. variance analysis, identifying risk areas, ratio analysis, debtors’ / creditors’ analysis, etc.).
• Contributing to the effective governance of the organization.
• Evaluate and compute tax payables for individuals & companies and assist with tax planning.
Preparing financial statements for external purpose and management accounts for internal purposes.
• Analyzing & interpreting financial transactions and financial statements (e.g. variance analysis, identifying risk areas, ratio analysis, debtors’ / creditors’ analysis, etc.).
• Contributing to the effective governance of the organization.
• Evaluate and compute tax payables for individuals & companies and assist with tax planning.