Organized Accountant with 6 years of managing accurate accounting information, tax return support, bookkeeping and corporate operations. Astute financial professional with keen eye for detail and high level of integrity. Works well in large teams in corporate environments
· Assisting clients in making beneficial and strategic decisions regarding investments, low-cash financing and sourcing overseas partners.
· Managing companies GL's and Payables.
· Making Vouchers In software (Softech).
· Verification of Clients Profit's/Tax and Service Fee Calculations.
· Reporting of Clients Investments Matured and Rollover.
· Software *QUICKBOOKS*
· Account Payables and Receivables
· General Ledgers
· Salary and Other Month End Accruals and Payments
· Bank Reconciliations
· Ledgers Reconciliations
· Inventory Management
· Quotations In Excel
· Receivable Aging Analysis
· Overhauled process for year-end inventory audits to improve accuracy.
*Excel*
· Account Receivables and Payables
· Banking Matters
· Bank Reconciliation
· Profit and Loss Statement
· Inventory Management
· Cash Inflows and Outflows
· Ledger Reconciliations
· Audited and reconciled payroll and distributions for personnel.
*Software - SAP (ERP)*
· Daily payments vouchers
· Days Outs (Expenses of Branches)
· Account Receivables / Payables
· Monthly Salary, EBF, Mobile, EOBI, Profit Share and weekly Travelling.
· Extraction of travelling Expenses and its Updating in travelling Manager.
· Bank Reconciliations
· Compile & record and reconcile the balance with branches.
· Prepare various reports and submit it to Manager as and when required.
· Preparation of Bank letter for transfer of Salary, Travelling, Incentives and bonuses.
· Filing of local and foreign bills, Jvs, Travelling and Branches Expense.
· Reconcile final bill claim with provisional bill claim at the end of the quarterly/Half yearly and yearly.
· Establish and maintain fiscal files and records to document transactions.
· Reconciliations of Ledgers.
· Handle payables accounts & maintain details.
· Record foreign payments.
· Assist of External Auditor.
· Updated general ledger of accounts with current, accurate and industry-compliant data to meet all internal and external audit requirements.
· Managed Income and Expense Excel Base.
· Fees Receivables
· Over Head Expenses
· Salaries Disbursement to Staff.
· Responded to requests for information and resolved issues quickly.
· Managed book of business to maintain positive relationships and make effective financial or client-related decisions.
· Listened attentively to students feedback to create stronger relations and shape business.
· Reported back to instructor to receive day-to-day tasks and responsibilities.
· Produced high-quality communications for internal and external use.
· Provided clerical support, addressing routine and special requirements.
· Sorted, organized and maintained files.
· Answered and transferred incoming telephone calls, taking messages for various staff
members.
Communicated effectively with faculty and staff and accepted critiques and suggestions for areas of improvement.