Results-driven finance professional with 15+ years of experience in financialmanagement, accounting, and administration. Proven track record of drivinggrowth, improving efficiency, and ensuring compliance. Skilled in financialreporting, budgeting, and team management.
Ø Provide financial reports & interpret financial information to regional manager and other managerial staff while recommending further courses of action
Ø Prepare Bank Reconciliation & ensure correct BRS of all Branch offices are being made
Ø Loan Disbursement & Recoveries reconciliation
Ø Prepare quarterly budget vs expense analysis
Ø Conduct reviews & evaluations for cost reduction opportunities
Ø Prepare and manage annual budget (Admin portion) for the company at region level
Ø Assess staff performance and provide coaching and guidance to ensure maximum efficiency
Ø Provide administrate support to all offices under region
Ø Ensure maintenance of logbooks of all vehicles in all offices under region, Reconciliation of logbook with trackers & prepare monthly Fuel Efficiency Report
Ø Physical visit to all offices in Region to monitor financial & administrative activities
Ø Coordinate & Ensure procurement process of goods & services
Ø Liaison with Internal & External Auditors
I am working in Damen Support Programme with following JDs
Ø Book keeping for regional office & Keep Financial record up to date
Ø Prepare Bank Reconciliation & ensure correct BRS of Area & Branch offices are being made
Ø Branchless Reconciliation & Reconciliation of Loan Tracking System & Financial Information System
Ø Coordinate with field offices & Head office for timely processing of monthly fund requests
Ø Logistic Arrangements for all training/ meetings at Regional Office
Ø Ensure maintenance of logbooks of all vehicles in all offices under region & prepare monthly Fuel Efficiency Report
Ø Periodic physical visit to all offices in Region to ensure all fixed assets are safely kept & tagged
Ø Coordinate & Ensure procurement process of goods & services
Liaison with Internal & External Auditors
Ø Assist Manager Accounts & Finance in preparation of Profit & Loss Statement
Ø Monitoring Regional & National Stocks
Ø Monitoring Regional Petty Cash, Sales Invoices, Remittance, Etc.
Ø Analysis and Costing of Sales Policies
Ø Preparation of Dealer/Franchisee & Sales Incentives
Ø Analysing Aging Report of Accounts payables and Receivables
Ø Continuous Management and Support of Budget and Forecast Activities
Ø Monitors Compliance with GAAP, IAS, and Company Procedures
Ø Prepare Aging Report of Accounts Payables and Receivables
Ø Monthly Reconciliation of Accounts Payables/ Receivables
Ø Prepare Daily Collection and Deposit Report
Ø Prepare Collection vs Sales Report
Ø Establish and Maintain Cash Control
Ø Establish and Maintain Supplier Accounts
Ø Verifying physical vouchers along with supporting documents
Ø Ensure Transactions are Properly Recorded into Computerized Accounting System
Ø Preparing daily bank position statement.
Ø Handling party payments.
Ø Preparing monthly party wise payments.