To secure a position in the organization that offers challenge and opportunity for my career development and at the same time serve the organization to the best of my capabilities. I would like to gain new skills while utilizing my current area of expertise of procurement and employee satisfaction services with in a positive team environment.
§ Preparation of monthly Accounts (P&L, SOFP)
§ Daily Customer and Retailors ledger reconciliations and invoice generation.
§ Expense verification and processing in SAP and FOL and getting approval from Head office (China)
§ Vendors payments processing and ledger maintenance.
§ Customers receipts and ledgers maintenance.
§ Fixed assets ledger and physical verification.
§ Monthly expense budget preparation and getting approval from Head office (China).
§ Interact with financial staff and ensure the audit spreadsheets are maintained every month/year.
§ Responsible to manage the cash flow and supervise over the financial transactions.
§ Play a vital part in the company's financial management which includes all account reconciliations and reporting to necessary parties.
§ Monthly Salary disbursements.
§ Stock verification
§ Responsible to manage the cash flow and supervise over the financial transactions within and outside the company.
§ Propose an annual budget based upon organizational goals and the planned targets of production in the guidance of the manager.
§ Control and protect the assets in the interest of the organization.
§ Assist the finance manager to make rounds in attending on financial requests pertaining to purchase orders.
§ Report the fiscal profit/loss incurred on yearly & Monthly basis.
§ Interact with financial staff and ensure the audit spreadsheets are maintained every month/year.
§ Handle the day-to-day job performance of the staff members and manage the payroll activities in approval of the manager.
§ Provide solutions on risk management.
§ Plan a strategic and long-term business plan in support of the financial manager and the board of managers.
§ Provide funds with respect to rough cost estimates for new products and services.
§ Assist the manager to obtain financial data from several sources such as expenses incurred in the month.
§ Dealing with Microsoft Ax dynamics Modules (General ledger, A/C Payable & Receivable, inventory & Fixed assets.
§ Responsible to manage the cash flow and supervise over the financial transactions.
§ Propose an annual budget.
§ Control and protect the assets in the interest of the organization.
§ Assist the finance manager for monthly accounts closing and preparation.
§ Report the fiscal profit/loss incurred on yearly & Monthly basis.
§ Interact with accounts teams for operational issues.
§ Fixed assets management depreciation and disposals.
§ Dealing with Microsoft Ax dynamics Modules (General ledger, A/C Payable & Receivable, inventory & Fixed assets.
Create and analyze liability, asset, and capital accounts by compiling electronic data and required documentation.
Managing Payables & Receivables of Company.
Planning, Studying, and collecting data to determine costs of business activity such as raw material purchases, inventory and labor. Analyzing data collected and recording results.
Summarize and prepare financial status and transactions reports, including a profit and loss statement, and other necessary reports.
Guide junior accountants and other staff by answering questions and coordinating informational Discussions.
Play a vital part in the company's financial management which includes all account reconciliations and reporting to necessary parties.
Fixed Assets and inventory management and Monthly Closing tasks.
Dealing with Micro-soft dynamic (Ax) Issues.
* Pays invoices by verifying transaction information, scheduling and preparing disbursements, obtaining authorization of payment.
* Maintains financial security by following internal accounting controls.
*Preparation of Monthly Profit & loss and Statement of financial position.
*Compilation of monthly With-holding income tax data.
*Charges expenses to accounts and cost centers by analyzing invoice/expense reports/ recording entries.
*Verifies vendor accounts by reconciling monthly statements and related transactions.
*Ensure Timely Transfer of Salaries & Branches Rent.
*Petty Cash Handling.
Monthly Bank Reconciliation
Vendors Accounts Reconciliation
Update daily bank position
Petty cash Management
Assist in various Administration tasks
Assistance in internal audit procedures