Profile Summary
A highly skilled accounting professional with a Master’s degree in accounting and over 12 years of experience managing financial operations and accounts across local and international companies in the commercial, banking, and industrial sectors. Most recently served as an Accounts Manager, leading finance teams, enhancing accounting systems, and ensuring full compliance with International Financial Reporting Standards (IFRS).
Proficient in a range of financial systems and software, including SAP, Oracle, QuickBooks, and advanced Microsoft Excel, with strong expertise in report design, financial analysis, and dynamic financial modeling. Known for accuracy, analytical thinking, and the ability to deliver innovative solutions that improve financial efficiency and support strategic business goals.
Prepare monthly and annual financial reports by analyzing the trial balance and changes during the period, making necessary adjustments.
Update job knowledge by participating in continuing education courses or attending industry seminars.
Update the fixed assets register by recording additions, disposals, depreciation, and adjustments as needed.
Train new accountants on the financial system, procedures, and best practices.
Manage and monitor the trial balance, accounts payable, accounts receivable, and invoices to ensure accuracy and proper documentation.
Supervise the preparation of monthly and annual inventories and perform appropriate accounting treatment.
Share monthly payroll and employee wages with department managers before transferring the statements to the bank.
Prepare bank deposits, collect data, verify receipts, send payments to banks, and implement internal controls to prevent fraud and mismanagement of funds.
Provide regular reports on key performance indicators related to branch activity, including sales, spare parts, maintenance, and inventory.