Overseeing accounts staff, Carry out monthly bank reconciliation, Extract monthly trial balance and General ledgr. Write up monthly financial report and quarterly management account. Report to the General Manager on day to day financial tranactions. Coordinate with the external and Government agents in business related transaction eg FIRS, Bank official, external auditor and others
STATEMENT OF QUALIFICATIONEnclosed please find my resume for the position of any suitable qualification in your organization.
COMPUTERISED ACCOUNTING SYSTEM. My accounting background includes completing the full accounting cycle including accounts receivables, accounts payables, General ledger and subsidiary journals, running reports, processing invoices and building statements.
CASHACCOUNTABILITY/ CUSTOMER CARE ( SERVICE). I coordinated and interfaced with other units and departments to verify stock and fill customer order/bookings.
WORD PROCESSING AND SPREADSHEET APPLICATION. In addition, I have used MS Word and Excel to create reports, correspondence among other issues.