My aim is to work for an organization to a level of utmost performance resulting in enhanced productivity both in terms of career enhancement and organizational goals.
Compile, review, and evaluate accounting records and financial reports.Ensure proper documentation and organization of financial transactions.Prepare monthly, quarterly, and annual financial statementsManage accounts payable, ensuring timely payment of invoices and bills.Calculate, prepare, and process employee payroll.Prepare and file tax returns, including sales, income, and other taxes.Perform regular bank and account reconciliations to ensure the accuracy of financial records. Resolve discrepancies and ensure records are up-to-date.Assist with internal and external audits by providing requested documentation and reports. Compute and prepare taxes and file electronic tax returns.Preparing the creditors ledger and accounts.Managing record of the creditors.Bookkeeping of creditors records.Reconciliation of accounts with creditors.