Finance Manager with over 11 years of experience in a variety of accounts & finance areas of responsibilities. Flexible and easily adaptable to new professional environments. Actively contribute to collaborative team initiatives. Strong desire to learn and grow knowledge base.
· Financial Statement
· Oversee monthly/quarterly financial closing
· Yearly financial audit through external auditors on time. Liaison with the external auditors of the organization
· Verify the transactions in GL are recorded accurately and on time to ensure closing
· Ensure all banks are reconciled on monthly basis
· Ensure timely payment to vendor, contractor, salary, Utility etc..
· Ensure timely statutory compliances - (Form A ,29 etc…)
· Ensure taxes are withheld and deposited in Government Treasury as per prevailing Tax Laws
· Monitor the cash flow of the company to ensure sufficient funds are available to meet cash flow needs
· Weekly processing of WHT deducted from vendor payments
· Monthly processing of Sales Tax & SRB payment
· Monthly submission of Sales Tax & SRB Return
· Quarterly/Yearly submission of WHT Return
· Tax notices compliance
· Maintains fixed asset Register
· Oversees Payroll disbursement and incorporation of the same into the system on monthly basis.
· Implementation of AX Dynamic 365
· Ad hoc work assigned by CEO / Chairman
· Financial Statement
· Cash Flow
· Prepare yearly financial audit required documents & provide support to external auditor for their queries.
· Verify the transactions in GL are recorded accurately and on time to ensure closing.
· Follow up with user department for vendor and Contractual invoices
· Arrange invoices and other supporting document from user departments
· Ensure the invoices are reviewed by user to ensure the payment released is correct and get them correct if error identified
· Ensure timely payment to vendor, contractor, salary, Utility etc..
· Bank Reconciliation
· Weekly processing of WHT deducted from vendor payments
· Monthly processing of Sales Tax & SRB payment
· Monthly submission of Sales Tax & SRB Return
· Quarterly submission of WHT Return
· Tax notices compliance
· Maintain fixed Asset Register
· Intercompany reconciliation
· Ad-hoc report assigned by CFO/Manager
· Financial Statement
· Project Cost Sheet
· Cash Flow
· Prepare yearly financial audit required documents & provide support to external auditor for their queries.
· Verify the transactions in GL are recorded accurately and on time to ensure closing.
· Follow up with user department for vendor and Contractual invoices
· Arrange invoices and other supporting document from user departments
· Ensure the invoices are reviewed by user to ensure the payment released is correct and get them correct if error identified
· Ensure timely payment to vendor, contractor, salary, Utility etc..
· Bank Reconciliation
· Weekly processing of WHT deducted from vendor payments
· Monthly processing of Sales Tax & SRB payment
· Monthly submission of Sales Tax & SRB Return
· Quarterly submission of WHT Return
· Tax notices compliance
· Maintain fixed Asset Register
· Create & issuance of purchase order to vendor
· Inventory receiving & issuance in AX Dynamics
· Ad-hoc reports assigned by CFO/Senior Manager
· Financial Statement
· Project Cost Sheet
· Cash Flow
· Prepare yearly financial audit required documents & provide support to external auditor for their queries.
· Verify the transactions in GL are recorded accurately and on time to ensure closing.
· Follow up with user department for vendor and Contractual invoices
· Arrange invoices and other supporting document from user departments
· Ensure the invoices are reviewed by user to ensure the payment released is correct and get them correct if error identified
· Ensure timely payment to vendor, contractor, salary, Utility etc..
· Bank Reconciliation
· Weekly processing of WHT deducted from vendor payments
· Monthly processing of Sales Tax & SRB payment
· Monthly submission of Sales Tax & SRB Return
· Quarterly submission of WHT Return
· Tax notices compliance
· Maintain fixed Asset Register
· Create & issuance of purchase order to vendor
· Inventory receiving & issuance in AX Dynamics
· Ad-hoc report assigned by CFO/Senior Manager
· Prepare Management accounts
· Prepare Financial Statement
· Prepare Budget accounts
· Prepare yearly financial audit required documents & provide support to external auditor for their queries.
· Prepare Budget Vs. Actual report
· Provision working
· Accruals working
· Maintain Prepaid/Un-amortization
· Utilities bills comparison report
· Maintain fixed asset register
· Adhoc reports assigned by manager
· Prepare Management accounts
· Prepare Financial Statement
· Prepare Budget accounts
· Prepare Budget VS Actual report
· Provision working
· Accruals working
· Maintain Prepaid/Un-amortization
· Utilities bills comparison report
· Maintain fixed asset register
· Intercompany Reconciliation
· Prepare yearly financial audit required documents & provide support to external auditor for their queries.
· Adhoc reports assigned by manager
· Review all invoices for appropriate documentation and approval prior to payment
· Prioritize invoices according payment terms
· Respond to all vendor inquiries related to payment and tax
· Maintain files and documentation thoroughly and accurately
· Intercompany Reconciliation
· Reports WHT by calculating requirements on paid invoices
· Reports SRB taxes by calculating requirements on paid invoices
· Reports sales taxes by calculating requirements on paid invoices
· Treasury Report
· Bank Reconciliation.
· Provide support to external auditor for their queries.
· Adhoc reports assigned by manager
· Prepare Management accounts
· Prepare Financial Statement
· Prepare yearly financial audit required documents & provide support to external auditor for their queries.
· Prepare Budget accounts
· Prepare Budget VS Actual Report
· Provision working
· Accruals working
· Maintain Prepaid/Un-amortization
· Utilities bills comparison report
· Maintain fixed asset register.
· Prepare Management accounts
· Prepare Financial Statement
· Prepare yearly financial audit required documents & provide support to external auditor for their queries.
· Prepare Budget accounts
· Prepare Budget Vs Actual Report
· Provision working
· Accruals working
· Maintain Prepaid/Un-amortization
· Utilities bills comparison report
· Maintain fixed asset register
· Prepare rent and utilities invoices on monthly basis
· Bank deposit and reconciliation on daily basis
· Maintain rent & utilities schedules of tenant daily basis
· Recovery from tenant on daily basis
· Prepare tenant receivable aging report
· Tax challans recovery from tenant
· Provide support to external auditor for their queries.
· Prepare rent and utilities invoices on monthly basis
· Bank deposit and reconciliation on daily basis
· Maintain rent & utilities schedules of tenant daily basis
· Recovery from tenant on daily basis
· Prepare tenant receivable aging report
· Tax challans recovery from tenant on daily basis.
· Provide support to external auditor for their queries.