I bring along nearly 5 years of distinguished career in the industry set up, managing entire spectrum of accounting operations with a solid understanding in areas of maintaining financial records, managing budgets, risk assessments and business strategy reviews.
I have multifarious experience in the service industry, enabling me to have a good grip on the complex accounting and finance issues of the organization. I have competently held senior and instructional appointments during my distinguished service.
I possess sound analytical and logical reasoning skills and I am result oriented, focused enterprising professional with a documented record of strong leadership.
My strength lies in the following areas
Accounts and Documentation Review (Contract Management)
Purchase and Procurement
Asset Insurance
Budgeting and Finance
Resource Management
Personnel Management
Strong commitment towards work
Result oriented and self motivated
Ability to perform very well under pressure.
Attached is my resume which showcases my progressive experience and successful track record for leading successful initiatives. My professional background and great industrial exposure coupled with an excellent track record makes me an ideal candidate for executive roles.
Handling all account and finance activities.
Vat Calculation & Verification ,Posting and Submission.
Preparing Bank Reconciliation.
Preparing Financial Statements.
Maintain Real,Nominal,Personal Accounts,
Overall Management responsibility.
Auditing of accounts and financial activities.
HR Activities (Documentation of employee,salary,hiring,promotion,demotion,training etc)
Correspondence (physical & email)with Vendor and customer.
Documentation of department.
• Work directly with the Executive Director to assure that financial policy, process, and procedure are documented, implemented and maintained.
• Work directly with Administration Manager to oversee the accounting and audit functions of the organization.
• Report and communicate the financial state of the organization.
• Develop financial projections.
• Set and deliver the annual budget and oversee the financial management plans and activities of the office.
• Prepare community program, grant, and donor specific budgets to support the Alliance’s financial strategy.
• Analysis of month end reporting as compared to budget and forecasts, focusing on gross profit and balance sheet items
• Prepare balance sheet and cash flow budgets and plans
• Complete key tasks as needed for the monthly close and reporting process
• Monthly financial upload statements and month end close journal entries
• Financial reporting schedules, footnotes and account reconciliations for key balance sheet accounts
• Intercompany schedules and charges
• Prepare ad-hoc reports and engage in special projects for management
• Continually review and challenge current processes with an objective to create efficiencies
• Assist in preparation of forecasts and budgets
• Coordinate month-end closing, financial statements/reporting, and other accounting related duties, including preparation of journal entries and balance sheet reconciliations.
• Ensures internal controls procedures are designed and operating effectively
• Oversee Multi-State Sales/Use Tax calculations and filings
• Maintain General Ledger system
• Assist Controller with technical accounting matters and special projects as needed
• Manage tax and accounting professionals to ensure talent management.
• Identify and investigate variances.
• liaising with auditors to ensure annual monitoring is carried out;
• developing external relationships with appropriate contacts, e.g. auditors, solicitors, bankers and statutory organisations such as the Inland Revenue;
• producing accurate financial reports to specific deadlines;
• managing budgets;
• arranging new sources of finance for a company's debt facilities;
• supervising staff;
• keeping abreast of changes in financial regulations and legislation.
• providing and interpreting financial information;
• monitoring and interpreting cash flows and predicting future trends;
• analysing change and advising accordingly;
• formulating strategic and long-term business plans;
• researching and reporting on factors influencing business performance;
• analysing competitors and market trends;
• developing financial management mechanisms that minimise financial risk;
• conducting reviews and evaluations for cost-reduction opportunities;
• managing a company's financial accounting, monitoring and reporting systems
• Implementing financial procedures, maintenance & Finalization of accounts as per statutory requirements and liaising with the tax authorities for taxation mattes, auditing & MIS.
• Handling the internal audit of the companies including setting up of internal audit systems as well as monitoring of the implementation of the systems.
• Maintaining statutory books of accounts and reconciliation of financial statements in compliance with the norms.
• Preparation of Balance sheets.
• Preparation of Profit & Loss accounts.
• Accounts payable (Verification of invoices, Utilitables, Facility management services).
• Good Knowledge in MIS.
• Handle cash transactions with customers
• Scan goods and collect payments
• Issue receipts, refunds, change or tickets
• Redeem stamps and coupons
• Make sales referrals, cross-sell products and introduce new ones
• Resolve customer complaints, guide them and provide relevant information
• Greet customers when entering or leaving establishments
• Maintain clean and tidy checkout areas
• Keep reports of transactions
• Bag, box or wrap packages
• Pleasantly deal with customers to ensure satisfaction