A Professional Finance Manager with 12+ years of experience of ledger processes, account reconciliations and streamlining accounts. Possess an Accounts & Law Degree with a focus in accounting. Seeking to leverage accounting expertise and experience into a managerial role as a Finance Manager.
· Responsible for the preparation of monthly financial results, budget, and quarterly forecasts, and completion of the reporting requirements
· Perform detailed analysis of accounts, prepare month-end reports, and presented findings to top level management
· Key in entries and maintain the company’s general ledger
· Prepare and file the necessary annual tax forms according to company and state policies
· Conduct a review of the monthly Business Activity Statements and balance sheet reconciliations
· Responsible for monitoring stock levels and performing inventory reconciliations
· Provide supervision of the annual internal and external audits
· Responsible reviewing weekly accounts payable run and their authorization
· Suggest modifications and improvements to existing processes and help in the evaluation of such changes
· Preparing financial documents such as invoices, bills, and accounts payable and receivable
· Completing purchase orders
· Managing payroll
· Completing financial reports on a regular basis and providing information to the finance team
· Assisting with budgets
· Completing bank reconciliations
· Entering financial information into appropriate software programs
· Managing company ledgers
· Processing business expenses
· Coordinating internal and external audits
· Verifying balances in account books and rectifying discrepancies
· Verifying bank deposits
· Managing day-to-day transactions
· Encoding accounting entries for data processing
· Sorting financial documents and posting them to the proper accounts