To Work in organization where I can fully utilize my knowledge to achieve the highest strong efficiently and strive to promote that status of organization and to improve myself.
Update financial spreadsheets with daily transactions
Prepare balance sheets
reconcile bank statements
Process tax payments
Support monthly payroll and keep organized records
Record accounts payable and accounts receivable
administrative support during budget preparation
Participate in quarterly and annual audits
Manage transactions
financial statements
Handle monthly, quarterly and annual closings
accounts payable and receivable
balance sheets
profit/loss statements
financial health and liquidity
Audit financial transactions and documents
Reinforce financial data
Auditing
Vouchering
Tiding