Accountant
CurrentManaging bank and cash book reconciliations, ensuring financial accuracy and compliance with accounting standards.Executing tasks related to accounts payable, accounts receivable, financial statement preparation, and cash flow analysis.Preparing for financial audits, conduct internal reviews, and file accurate tax returns, maintaining full compliance with regulatory requirements.Recommending improvements to internal accounting controls by refining policies and procedures to enhance operational efficiency.Analyzing and classifying financial transactions, ensuring alignment with standard accounting procedures.Maintaining up-to-date general ledger accounts and deliver detailed analyses for recorded transactions.Collaborate on the preparation of balance sheets, income flow projections, and financial statements for reporting to stakeholders.Implementing effective data security measures to safeguard sensitive financial information.Key Achievements:Introduced streamlined processes for timely invoice generation, ensuring enhanced cash flow management.Developed comprehensive reports on audit findings, delivering actionable insights to improve financial systems.