I have experience in preparation of financial statements, coordinating the process of auditing, payroll management, bank reconciliation, preparing cash flow projections, fixed assets management, budget preparation, filling tax returns, preparation of management reports and financial statements analysis.
The other responsibilities that i have carried out include petty cash management, analysis of revenue and expenditure trends and future revenue expectations, receipting and vendor payments and reconciliation.
I am good in information administration and the ability to transform that information into reports. I believe in constant communication with other employees and third parties to provide information or query resolution, I am able to multitask and prioritize with calm and resolve while exuding confidence and assertiveness. I pay attention to detail and I endeavour to understand the business by perceiving the impact and implications of decisions on the value chain and on the competition. I am great at computer skills, especially Microsoft Excel.