Description
₋ Managed the full accounting cycle, including accounts Payable, receivable, Payroll, and general ledger entries.
₋ Performed timely and accurate filling of all required tax returns.
₋ Performed monthly, quarterly, and year-end financial closings, ensuring timely and accurate financial reporting.
₋ Prepared financial statements and reconciled accounts to meet regulatory and internal reporting requirements.
₋ Conducted financial, variance analysis, and forecasting to identify cost-saving opportunities and enhance profitability.
₋ Performed of Budgets and worked closely with seniors to monitor financial performance against targets.
₋ Collaborated with external auditors during annual audits, resulting in a clean audit report.
₋ Assist External Auditors in the preparation of information and documentation for tax audits.
₋ Prepared & maintained Cash flow monthly & future Projections.
₋ Prepared various financial reports to meet regulatory requirements.
₋ Implement financial policies and procedures.
₋ Identify and assess financial risks.