Master's in finance with three years of experience in both finance and pure accounting roles, adaptive at financial analysis, budgeting, financial reporting and maintaining accurate financial records. Seeking new Opportunities to leverage expertise and contribute to the financial success of an organization.
• Keeping accurate records for all daily transactions,
• Processing invoices, •
Recording accounts payable and accounts receivable,
• Recording transactions and Reconciling bank statements on FAS.
• Tracking bank deposits and payments,
• Resolving financial disputes raised by the customer service and salesteams,
• Making credit card payments to vendors in Canada
• Dealing with supplier, client, and invoice queries
• Supporting the Finance Manager and executives with projects and tasks when required.
• Maintaining Accounting Records on QuickBooks for group of companies, specifically off shore clients.
• Prepare and present reports that reflect quarterly and yearly results.
• Preparing daily, weekly and monthly prime financial reports as Balance sheet, IS & Cash flows.
• Performing credit card and bank account reconciliations over the month.
• Assisting in processing payrolls and employee’s management.
• Providing daily deliverables to Executives and managing their agenda’s.
• Communicating over emails with clients for their queries.
Worked in procurement section of Ptcl.
Dealt with vendors and bidding of contracts.
Evaluate vendors and registered them with ptcl.
Maintained a record in SAAP.
Performed meetings for negotiations with vendors.
Worked as an administrative person to run up daily tasks.
Performed meetings with donors.
Performed as a tutor to help educate the needy class of society.