Presentation
Offered services
Background
* Ensured accurate accounting transactions and reconciled accounts receivable and payable
* Prepared bank reconciliations and prepared financial statements and month-end reports for management
 Responsible for ensuring the accurate accounting transactions in the books.
 Accounts receivable and accounts payable reconciliation & follow-up.
 Prepared bank reconciliation and petty cash management.
 Reviewed transactions to ensure proper accounting with established standards.
 Prepared financial statements and month-end reports to management with accuracy.
 Assisted in the preparation and coordination of the audit process, implementing and maintaining internal financial controls and procedures.

