To achieve excellence in profession of finance and auditing and stand among the very best of the profession while working with a dynamic organization of leading professionals.
•         Compile and analyze Import/Export to prepare entries to accounts, and also prepare sales monthly basis.
•         Compile and analyze financial information to prepare entries to accounts, such as general ledger accounts and document business transactions.
•         Preparing Financial Statements of the company.
•         Assist in development and implementation of new procedures to enhance the workflow of the organization.
•         Preparing Bank Reconciliation Statement, Cash reconciliation statement and Daily Stock control Sheet.
•         Ensure an accurate general ledger posting and timely monthly, quarterly and year end close.
•         Respond to inquiries from the CEO regarding financial results and special reporting requests.
•         Analyze and interpret financial information that corporate executives need in order to make sound business decisions.
•         Monitoring and interpreting cash flows and predicting future trends.
•         Regularly undertaking audits, involving the examination of the organization’s accounts, analyzing risk, inspecting the organization’s current practices, investigating any financial irregularities and recommending improvements.