To achieve a compatible and challenging career opportunity within Industry, where I can prove my analytical, leadership and technical skills in meritorious work environment.
Making and releasing supplier payments and reimbursements of employee’s expenses, verifying taxes deducted against them and ensure posting to the appropriate ledgers.-Prepare all necessary entries for books closing (Auto Reversal, Receipt Vouchers, Journal Vouchers and Recurring Journal) and ensure timely and accurately closure of books on monthly/quarterly/yearly basis.-Prepare bank reconciliations, site spares movement/receipt. -Prepayments & advances schedules, monthly accruals inputs, TB reconciliation.-Assist in budget preparation, variance analysis.-Making
Working as an MTO in Hascol Petroleum Limited