Accomplished finance professional with a Master’s degree in Business Administration (Finance) and over 10 years of experience in accounting and finance. As a Certified Tax Practitioner and QuickBooks Expert, I use my strong skills in QuickBooks and Excel to simplify financial tasks, ensure compliance, and enhance overall company performance.
Skilled in performing bookkeeping tasks using QuickBooks and Microsoft Excel.
Proficient in preparing financial statements; income statements, balance sheets, and cash flow analysis.
Experienced in monitoring financial transactions and preparing accurate journal entries.
Prepare, calculate, and distribute wages and salaries, ensuring compliance with regulations.
Ensure timely and accurate processing of accounts payable and receivable.
Expertise in reconciling bank statements and other financial documents.
Assist in budget preparation and financial forecasting to support strategic planning.
Conduct audits and offer recommendations for process improvements.
Adept at preparing and filing income tax returns and sales tax returns.
Act as the primary contact with the company’s bank for financial matters.
Manage computerized financial accounting systems.
Oversee and manage computerized financial accounting systems to ensure accuracy and efficiency.
Prepare and analyze financial statements; cash flow statements, income statements, and balance sheets.
Prepare and reconcile company bank accounts to ensure financial accuracy.
Analyze and prepare aging reports for accounts payable and receivable.
Reconcile accounts and review expense data, net worth, and assets for financial accuracy.
Handle petty cash transactions and maintain a manual filing system for financial records.
Prepare, calculate, and distribute wages and salaries accurately and timely.
Manage the receipt and sorting of daily mail, couriers, and deliveries efficiently.
Manage candidate visa records, flight schedules, and arrange travel and accommodations for delegations.
Develop budgets and forecasts to support management in meeting accounting deadlines.
Managed computerized financial accounting systems to ensure accurate financial operations.
Reconciled accounts and reviewed expense data, net worth, and assets to maintain financial integrity.
Prepared and analyzed cash flow statements, income statements, and balance sheets.
Calculated and reconciled monthly sales tax returns, ensuring timely and accurate submissions.
Prepared and filed income tax returns for the company and its salaried individuals.
Calculated, prepared, and distributed wages and salaries accurately and on schedule.
Prepared and mailed client invoices regularly, ensuring timely billing and payments.
Managed day-to-day payments and maintained accurate records of incoming and outgoing transactions.
Served as the main point of contact for the company's bank, managing financial matters and ensuring seamless banking operations.