An enthusiastic accountant assistant who understands the bigger picture, having worked as an entrepreneur himself. I am a well-rounded, result-orientated individual eager to take on additional responsibilities to get the job done.
Ensure the accuracy of cashbook entries and match them with corresponding bank transactions.
Reconcile bank statements with internal transaction records to identify discrepancies and resolve outstanding items.
Prepare summary reports detailing expenses for each category and provide insights into cost-saving opportunities.
Categorize and analyze operational expenses from various departments and cost centers.
Record and update information regarding received goods, quantity, supplier details, and other relevant data.
Create and maintain a daily receiving sheet using Microsoft Excel.
Compute the sales tax amount based on the taxable value of the goods as stated in the commercial invoice.
Determine the applicable sales tax rates for imported goods in accordance with local tax regulations.
Develop and maintain detailed working papers that illustrate the calculations of sales tax for each transaction.
Ensure the accuracy of cashbook entries and match them with corresponding bank transactions.
Accounts receivables management
Accounts payable management
Banks payment verification manually and from e-statement
Reconcile bank statements with internal transaction records to identify discrepancies and resolve outstanding
items.
Prepare summary reports detailing expenses for each category and provide insights into cost-saving
opportunities.
Categorize and analyze operational expenses from various departments and cost centers.
Record and update information regarding received goods, quantity, supplier details, and other relevant data.
Create and maintain a daily receiving sheet using Microsoft Excel.
Compute the sales tax amount based on the taxable value of the goods as stated in the commercial invoice.
Determine the applicable sales tax rates for imported goods in accordance with local tax regulations.
Develop and maintain detailed working papers that illustrate the calculations of sales tax for each transaction.
Tax Compliance and Reporting: Proficient in calculating and reporting sales tax on commercial import invoices, ensuring accurate and timely submissions.
Financial Documentation: Expertise in creating and maintaining daily receiving sheets using Excel, streamlining record-keeping processes.
Expense Management: Proficient in summarizing operational expenses, optimizing cost-efficiency, and facilitating informed decision-making.
Income Analysis: Adept at summarizing income sources from various heads, contributing to financial performance evaluation.
Cash Flow Analysis: Skilled in producing visually appealing summaries of cash transaction inflows and outflows, enhancing financial transparency.
Bank Reconciliation: Experienced in meticulously examining bank statements and reconciling them with general ledger entries, ensuring financial accuracy.
Expense Oversight: Diligently scrutinize employee-submitted expenses, promoting cost control and adherence to company policies.
Accounts Management: Manage accounts receivable and accounts payable, ensuring timely incoming and outgoing payments.
Financial Reporting: Proficient in generating comprehensive financial reports showcasing company profits and cash flow trends, aiding strategic decision-making.