I am a highly motivated and results-oriented Accounting Professional who brings along over 03 years of hallmark career in accounting and finance. I am well versed in leading the preparation and analysis of financial reports and forecasts while maintaining accounting goals. I am highly skilled in financial reporting, internal audit, ratio analysis, cash flow analysis & taxation,. Proven record of developing and implementing financial and operational controls that improve position of businesses. Highly expertise in risk assessment, documentation, and reporting along with deploying enhancement measures to maximize efficiency for optimum productivity, while meeting business objectives and vision.
My key skills include Financial Reporting Standards, Financial Statements, Capital budgeting and Discounted Cash Flow Analysis, Operational Risk Assessment, CVP Analysis & Marginal Analysis, Liquidity and Solvency measures, Communication Skills, Problem Solving, Quick Book and MS Office Suite.
Attached is my CV which showcases my progressive experience and successful track record for leading successful initiatives. My professional background and great industrial exposure coupled with an excellent track record makes me an ideal candidate for executive roles. As such, I would welcome a discussion regarding opportunities with your organization that fit my background.
• Efficaciously prepare, examine, and analyse accounting records, financial
statements and reports to assess accuracy, completeness, and conformance
to reporting and procedural standards.
• Entrust with overall responsibility to utilise sound negotiation skills to deal
and manage independently with all finance, accounts matters
• Exercise hands-on approach and internal control managing books of
accounts, timely recording of transactions, keep up date ledgers and
receivables of the company as a subordinate with Finance Manager.
• Analyse including trial balance, profit and loss statement
balance sheet and statement of cash flows, as well as the year-end financial
reports.
• Manage multiple priorities while using ratios analysis, Common size
analysis, and Cash flow analysis and present them to the management as
per requirements.
• Deliver advice in policies and decision related to Finance and Accounts,
devise and propose changes about different accounts policies, procedures,
and methods.
• Oversee audit team of internal audit, and external audit at the end of every
year and give report of progress to the manager.
• Held accountable to handle petty cash of the head office and make
arrangement for reimbursement.