

Accomplished finance professional with extensive expertise in financial reporting, audit coordination, and balance sheet management. Demonstrates critical thinking in finance and excels in delivering clear financial presentations. Proficient in forecasting, account reconciliation, and tax preparation, with a strong command of Excel and various accounting software. Adept at managing payroll processing and bank reconciliations while ensuring accurate financial documentation. Career goals include leveraging skills in forecasting and financial analysis to drive strategic business decisions.
* Working on tax returns.
* Contributing to the preparation of financial statements for closed
joint-stock companies .
* Auditing clients' accounts and conducting tax audits for them.
* Monthly bank reconciliations .
* Review of company customer and supplier accounts .
* Review and closing of monthly and annual financial statements .
* Preparing daily and monthly sales reports for clients.
* Settling outstanding debts with clients.
* Closing daily and monthly accounts.
* Closing final accounts and participating in the preparation of the
annual trial balance.
* Conducting monthly inventory counts of goods in company
warehouses.
* Daily and monthly sales reports.
* Inventory and bank reconciliations.
* Preparation of required financial reports accurately and efficiently
within a record time.
* Preparation of income statements and balance sheets.
* Monthly and annual bank reconciliations.
* Cash advances reconciliation.
* Preparation of financial reports for bank advances, deposits, and
prepaid and accrued expenses.
* Preparation of weekly and monthly sales reports.
* Closing the trial balance and reconciling accounts with associates
semi-annually and annually.
* Conducting semi-annual inventory counts for companies.
* Participating with the audit firm in preparing the balance sheet and
comprehensive income statement.