A professional with more than six years experience in accounting and finance. Experienced in bookkeeping, tax calculating, and reporting for business clients and organizations. Knowledge of the most common accounting software programs. Strong work ethic and commitment to integrity and accurate record keeping.
Manage the cash flow and supervise financial transactions.
Prepare monthly financial reports, bank reconciliation, cash management.
Managing and procuring supplies for organization.
Maintain inventory and records for audit and compliance
Reviewing assets/ capitalization policies, ensuring compliance with company’s policies and procedures
Responsible for billing invoices.
Prepare Budget.
Forecasting cash payments and anticipating challenges arising from limited cash flow