My background has given me experienced and qualified candidate for the position of Finance officer. I have a bachelor’s degree in commerce and four years of experience working as a Finance officer at Hashoo Foundation USAID funded project BPRM.
I am a team player and believe in working as a team member, I am honest and hardworking and can assist my supervisor with the sense of responsibility, I have the working experience as required and understand the finance activities and reports.
My experience also includes coordinating departments to keep daily operations running smoothly. When problems arise, I have the ability to locate the cause and find a suitable solution. I also have experience performing general bookkeeping duties, preparing financial reports and assisting with both internal and external audits.
Sales Support Activities
v Develop New Business Process (NBP) and Preliminary Underwriting (PU);
v Develop a strong coordination with operation department in head office; and,
v Follow up with sale person for fulfillment of pending requirement at earliest.
Customer Services
v All related document send to the client services department through CSD transmittal on daily basis;
v Entertain walking clients and attend telephone calls of the policyholders; and,
v Guide salesperson in relation to make endorsement illustrations.
Preparing monthly salary reconciliation
Disbursing the monthly Payroll
Coordination with HR for staff salary matters
Ensuring the issuance of monthly salary slips
Proper filing of staff contract letters
Preparing Monthly Financial Report.
Reconciliation of bank
Receipt
Checking bank and cash receipt vouchers and resolving discrepancies.
Monitoring timely deposits in bank accounts.
Monitoring and ageing of Receivables.
Preparing monthly salary reconciliation
Disbursing the monthly Payroll
Coordination with HR for staff salary matters
Ensuring the issuance of monthly salary slips
Proper filing of staff contract letters
Preparing Monthly Financial Report.
Reconciliation of bank
Receipt
Checking bank and cash receipt vouchers and resolving discrepancies.
Monitoring timely deposits in bank accounts.
Monitoring and ageing of Receivables.
Preparation of payment, Journal and Receipt vouchers
Preparation of Bank Reconciliation statements
Preparation of Annual budgets
Dealing with the implementing partners
Managing day to day financial and Administrative matters
Dealing with the banks and external suppliers
All types of financial reporting
Audit related matters
All types of reporting and correspondence
Monitoring invoicing, payment and recovery;
Liaison with banks and handling all banking matters;
Ensure that all income is accurately recorded.
Day-to-day bookkeeping using MIS and Microsoft Excel.
Monthly reports to the Sr. Finance Officer.
Ensure all expenses are within assigned project budget.
Issue cheque for all accounts due.
Ensure transactions are properly recorded and entered into the computerized accounting system.
Prepare income statements.
Preparing Balance Sheet.
Payroll
Preparing monthly salary reconciliation
Disbursing the monthly Payroll
Coordination with HR for staff salary matters
Ensuring the issuance of monthly salary slips
Proper filing of staff contract letters
Preparing Monthly Financial Report.
Reconciliation of bank
Receipt
Checking bank and cash receipt vouchers and resolving discrepancies.
Monitoring timely deposits in bank accounts.
Monitoring and ageing of Receivables.
Reconciliation of Advances
Reconciling advances against expenses, traveling, and purchases staff advances on monthly basis
Reconciling the inter unit/project advances and payables on monthly basis
Ensuring the timely recovery of staff loans/advances.