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Skills

  • Accounting
  • Accounting Software
  • Act
  • Bank Reconciliation
  • Cash Flow Management
  • Computer Hardware
  • Customer Service
  • Excel
  • Finance
  • Financial Reporting
  • Interpersonal Skills
  • Invoicing
  • Management
  • Ms
  • Ms Excel

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Services

  • Accountant

    $15/hr Starting at $30 Ongoing

    Dedicated Resource

    • Finance experience in financial reporting, cashiering/teller services, cash flow management, petty cash and cash book management, Bank reconciliation, invoicing, debtor/customer ledger management and...

    AccountingAccounting SoftwareActBank ReconciliationCash Flow Management

About

I am a proactive team player, responsible, hardworking, self driven, keen to detail, able to work under pressure to meet strict deadlines and quality results oriented citizen

Accountant Eliora Energy Limited: January, 2013 To October, 2014.
Key duties & responsibilities
? Prepare, examine, and analyze accounting records, financial statements, and other financial reports to assess accuracy, completeness, and conformance to reporting and procedural standards.
? Participate in the formulation of internal controls and ensure that these controls are implemented fully
? Compute taxes owed and prepare tax returns, NSSF, NHIF and PAYE ensuring compliance with payments.
? Maintain accounts receivable inventory and accounts payable ledgers and ensure that it is up to date, complete and accurate.
? Payroll management.
? Bank reconciliations.
? Petty cash management
? Product costing
? Sighting of funds before approving release of products to clients and constant liase with the bank.
? Approving confirmation of adjustments of stock entitlement (ASE) to Kenya pipeline company stock control department

Accounts Assistant, Maersk Kenya limited; January, 2012- December, 2012
Key roles;
? Freight and drop off receipting-Receiving payment checks from clients and feeding them into the system. This being import, export and detention charges.
? Invoicing-issuing of import, export and detention invoices to clients.
? Banking- this is banking of the daily checks and cash collection to the respective bank accounts.
? Credit control
? Petty cash management
? Bank reconcilliations

Work Terms

between 8am to 5pm .mode of communication is email

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