A highly efficient, driven and analytical Finance Associate possessing a vast and diverse wealth of expertise accumulated working across different roles and employers. Adept in the effective engagement and influence of both internal and external stakeholders at all levels. Highly analytical and detail orientated coupled with expertise in account reconciliation and Management Reporting/Analysis. Communicative, diligent, and thoroughly dedicated in all pursuits: seeking a new professional challenge in which to further develop and apply a highly transferable skill set, confident in the ability to deliver significant and measurable value to any organisation.
Accounts Payables:
• Communicating internally and externally to ensure the process of invoicing and payments.
• Verifying the Quantity claim via Delivery note & MRN (JDE) and Approved from authorized person.
• Identifying the correct GL and Cost Centre against charging the expenses;
• Processing bills, invoices, purchase requisitions, GIRs and delivery notes;
• Processing both invoices PO and Non-PO basis with all supporting documents and approvals for booking in the ERP (JDE);
• Managing invoice and expense booking via ERP-SAP;
• Creating credit voucher and processing via ERP-SAP;
• Managing dashboard to track status of invoices;
• Partnering with site functional teams to ensure timely vendor invoicing and payments;
Fixed Assets Management:
• Periodic physical asset verification at site and ensuring adequate asset tagging
• Processing and supporting in Asset Completion Memo, Asset Disposal Forms and Asset Transfers.
• Physical fixed assets verification, monitoring the relocation, replacement of assets and Disposal of Assets (If any);
• Completing asset completion memos (ACM) forms for asset capitalization and coordinate with the concern person;
• Financial Aspects - Working on the Depreciation as per company policy
• Supporting external audits in Inventory Count and Fixed Assets verification
Integration - Support the Finance Manager across a range of finance matters, such as;
• Inventory Count to reconcile with the System reporting;
• Working on the costing and to reconcile the cost when data migrate;
Cash Management:
• Payment of supplier invoices and staff expenses;
• Managing cash books and account reconciliations;
Costing:
• Weekly review of yield variance to ensure completeness and correctness
• Assisting with production volume analysis monthly and year to end basis;
Ad hoc reports for business decision-making:
• Extracting reports from BPCS & JDE regarding (Trial Balances, Variances and Inventory)
Providing financial analysis reports regarding budgets;
Maintaining responsibility for the site’s fixed assets management including: overseeing fixed assets verification, monitoring the relocation, write off and replacement of assets;
Completing asset completion memos (ACM) forms for asset capitalization;
Following new induction processes in order to ensure maximum impact is achieved for all parties;
Maintaining and updating records where required;
Vendor management;
Processing bills, invoices, purchase requisitions, GIRs and delivery notes;
Managing all invoice and expense booking via ERP-SAP;
Answering any payment enquiries;
Creating credit voucher and processing via ERP-SAP;
Overseeing all petty cash;
Managing all cash books and account reconciliations;
Overseeing all material and yield variance reporting and taking appropriate action as required;
Ensuring departmental operations run in line with company and group guidelines, as well as government legislation;
Remaining highly vigilant at all times and ensuring exceptional attention to detail; and
Assisting with production volume analysis monthly and year to end basis.
Hired as Finance Intern in September 2015. Based on my performance, I was promoted as a Finance Management Trainee Officer in January 2016.
Improving operational efficiency due to the effective management of fixed assets audit and re-valuation.
Assisting with the department’s operational efficiency line with company guidelines;
Liaising with the ERP implementation team;
Coordinating accounts receivable and recording account receivables voucher in ERP Oracle;
Managing the fixed assets register to maintain records as per legalization.;
Preparing general vouchers and payment vouchers, and
Assisting Accounts Officers in the preparation of bank reconciliation statements.