I am an experienced and skilled Accounts & Finance Professional, I have done (MBA (Banking & Finance) with 10 years of professional experience. I always seek to further develop my skills with challenging environment.Â
My experience, skills & knowledge has given the confidence to be a part of an excelling team to grow further
·     Monthly Financial Reporting
·     Costing of Products and pricing strategy
·        Break even analysis
·        Vendors and Inventory management
·        Ageing of Accounts Receivable
·        Invoicing and monthly payroll preparation.
·        Meeting with clients and provide them feasibility report for franchisee
• Supervise all activities in Accounts Department
• Assist in Tax matters liaison with the company’s tax consultant
• Maintained Vendors Ledger
• Collection of Accounts Receivables and on-time Payment of Supplier invoices
• Preparation of Cheques, payments and bank deposits
• Preparation of Payroll and Customer invoices/ Billing
• Manage preparation of monthly creditor’s reconciliation statement & aging of closing balances
• Reconcile financial discrepancy by collecting and analyzing accounts information
• Coordination with branches, accurately & timely monthly closing of accounts
• Financial Reporting to Directors
• Establishment of Accounting System
• Maintaining of purchases and sales accounts
• Making Monthly Reports
• Follow up Receivables
• Petty cash
• Inventory costing
• Vendor Payments
• Verification of Vouchers
• Reconcile financial discrepancies by collecting and analyzing account information.
• Supervise the Accounts Activities.
• Maintaining and reconciling accounts.
• Verification and posting of vouchers.
• Internal Audit of clients.
• Rectification of errors & Adjusting journal entries
• Analyze the existing client database.
Perform other task assigned by the Manager
• Establishment of Accounting system
• Reconciliation of general ledger accounts & Bank Statements.
• Maintain Purchases & Sales account of foreign Currency.
• Handling of vouchers and Managing cash Requirement.
• Preparation of Financial Statements.
• Counter dealing with customers & operate Western Union money transfer.
• Perform Monthly closing process by reconciling all the figures and generating reports.
• Keep personal record of employees.