Egypt Zones accountACCOUNT

FINANCIAL ANALYST,


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Education: 5
Experience: 6 years
Relocation: Yes - Internationally

Industry Experience
4 years Assistant Manager
4 years Assistant Manager
3 years Assistant Manager

Career Objective

My long-term aim is to be expert in Finance and Risk Management with several years’ of diverse practical experience and would like to be offered a challenging, fulfilling and carrier-rewarding job

Professional Experience

ACCOUNTING
• Invoicing: Processing invoices, matching invoices to Delivery notes on Regular basis.
• Nominal and Bank Reconciliation’s, Daily Banking and VAT returns.
• Stock Purchase accounting and reconciliation.
• Weekly reconciliation of head office locations.
• Balance sheet Reconciliation’s for all types of stock.
• Reconciliation of balances outstanding with suppliers.
• Day to day management of the purchase/Sales ledger.
• Supplier/ Customer statement reconciliation’s.
BUDGETTING
• Maintenance of Pay files
• Assist the Management Accountant with Budget setting and forecasting
• Maintenance of Budget Clear plan and checking Invoices.
REPORTING
• May take the lead on a small group of budgets in agreement with Finance Manager
• To assist with the monitoring of actual spend to budget
• Preparation and distribution of monthly reports to budget holder via email.
• Monitoring invoices for reclaimable VAT.
VARIOUS
• Assist with Year End analysis of operating Cost Statement.
• Assist with year end analysis of year on year spend.
• To support risk management for the Departments by identifying, implementing and maintaining controls, contingencies and actions.
• To undertake other duties commensurate with the responsibilities of the position
Work experience in Accountancy

Employer: Boateng and Offie & Co (Management Consulting) Ghana
Designation: Accounts Assistant. Employment status: Part time
Period: February 1992 to January 1995
Job responsibilities:
• Investigation of Accounts, and Cash Counts
• Maintenance and Preparation of Sales Ledger.
• Maintenance and Preparation of Purchases Ledger.
• Nominal and Bank Reconciliation’s, Daily Banking.
• Stock-taking, processing and matching invoices, (Invoicing)
• Investigate and Report on variances between physical stock takes and balances
showing on system
• Prepare regular analysis of sales, manufacturing and distribution performance.
• Tax assessment of client and VAT Returns

Eductation

MBA. (Financial Management) University of Hull, England, U.K 2004
B.Com. University of Cape Coast, Ghana 2000

Certification

• Institute of Cost and Management Accountants, U.K (MANAGERIAL LEVEL)

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Egypt Zones
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