I have expertise in guiding financial decisions through policy and procedure management while ensuring asset protection by establishing internal controls. I effectively manage cash flow to maximize returns and limit risks, provide detailed financial status reports by collecting and interpreting data, and ensure compliance with legal requirements through research and collaboration. Additionally, I arrange and manage audits, oversee budgeting and expense control, and play a key role in staffing—hiring, training, and developing employees in line with company policies. I also, stay updated on industry innovations and technology, assist with cash flow forecasts, and prepare bank reconciliation statements.