Highly skilled professional with extensive knowledge in Microsoft Excel, Word, and PowerPoint. Competent in writing reports, research papers, and other professional documentation. Proficient in accounting packages including Tally, Quick Book, and Microsoft Dynamic Navision.
Overview
6
6
years of professional experience
5
5
years of post-secondary education
1
1
Certification
Work history
Accountant
MS Training Centre for Development Cooperation
2021.07 - 2026.04
Recorded and managed 30–80+ daily/monthly financial transactions including accounts payable, accounts receivable, and cash receipts
Posted and reconciled 50–150+ accounting entries monthly with high accuracy
Performed bank reconciliations for multiple accounts 19 bank accounts monthly ensuring accuracy and minimal variances.
Conducted vendor reconciliations involving 15 to 30 suppliers and resolved discrepancies promptly
Ensured proper revenue and expense recognition in compliance with accounting standards
Supported month-end and year-end financial closing processes
Assisted in budgeting and forecasting for operational and project financial planning
Managed procurement processes including supplier coordination and payment processing
Assisted in audit processes, contributing to clean audit outcomes with minimal findings
Finance Asset Assistant
The School of St. Jude
2020.10 - 2020.12
Maintained and updated Fixed Asset Register covering 50–200+ assets to ensure accurate records
Retrieved and verified 20–100+ fixed asset invoices from files for proper documentation
Calculated and prepared depreciation schedules for monthly and annual asset reporting
Created and printed 50–150+ asset tags for proper identification and tracking of new assets
Identified and reported duplicate asset allocations for correction and improved data accuracy
Prepared asset replacement and repossession reports for management review and decision-making