Description
Experienced at all company financial process. Cash flow reports elaboration cash and loans management month end close process prepare the financial statement parental company accounts reconciliation revenue and expense recognition internal controls GAAP rules and month end activities. Hands-on supervise and/or lead the financial activities like bank account reconciliations A/P A/R payroll treasury management accruals general ledger prepare variance analysis budgeting variance analysis. Maintain control of the fixed assets inventories and prepare accrual Basis Financial Statements. discipline Hire and organize work distribution to staff. Operated at Industries like Construction Commerce Manufacture and Security Environmental care Agriculture Banking and International accounting reporting.