A professional accountant with broad management experience in financial institutions. Well versed in business practices, with computer aptitude and proven entrepreneurial skills.
Prepare financial statements, compile comparative cost analysis, monitor and reconcile inventory balances as well as meeting company and government requirements.
Cash Flow Optimization
Assist professional accounting team with a software conversion
development, communication and implementation of policies and practices to ensure financial reporting and all financial and accounting transactions comply with company practices, professional standards, and the terms of the clients’ contracts.
Assist in the preparation of annual budgets and forecasts
maintain the general ledger and prepare the monthly and quarterly financial statements, budgets and forecasts.
meet deadlines
able to take direction from Management and implement the requirements while complying with Generally Accepted Accounting Principles.
Prepare and analyze financial results, including account reconciliations, financial reports and variance reports.