Industrious Accounting Manager skilled in financial reporting and corporate budget management. Over 11+ years of financial experience and knowledge. Recognized for astute financial management actions to save costs, improve cash flow and streamline reporting.
Initiated comprehensive account assessments to check viability, stability, and profitability of business operations.
Stayed on top of applicable federal and state requirements to minimize legal and financial risks.
Partnered with auditors to track errors and add contributions to maintain accuracy.
Overhauled process for year-end inventory audits to improve accuracy.
Applied proper codes to invoices, files, and receipts to keep records organized and easily searchable.
Directed gathering of required documentation and files for account audits and completed reviews.
Stayed on top of applicable federal and state requirements to minimize legal and financial risks.
Initiated comprehensive account assessments to check viability, stability, and profitability of business operations.
Organized budget documentation and tracked expenses to maintain tight business controls.
Directed gathering of required documentation and files for account audits and completed reviews.
Organized joint sales calls with current customers and outside vendors.
Maintained high standards of customer service by answering pricing, availability, use and credit questions accurately.
Effectively led seasoned team of partner managers and account coordinators
Maintenance of accounting record.
Preparation of Monthly Trial Balance and Financial Statements.
Preparation of Daily Funds Position & reconciliation of Bank Accounts, Parties ledgers.
Preparation and disbursement of salaries at site.
Checking of all types of payments with support/bills aspects.
Purchase all kind of Material required on sites.
Post journal entries and reconcile accounts, prepare trial balance of books, maintain general ledgers and prepare financial statements.
Preparation of Monthly Trial Balance and Financial Statements.
Calculate and prepare cheques for payrolls and for utility, tax and other bills.
Preparation of audit work, management, audit details.
Preparation of bank payment vouchers and journal vouchers and passing accounting entries in the books of account etc.
Compute taxes owed and prepare tax returns, ensuring compliance with payment. Reporting or other tax requirements.
Preparing the monthly, half yearly and annual management.