Online PlatformsAccounting & Finance Professional
Jan. 2018World WideAs an Accounting & Finance Professional, I specialize in maintaining accurate financial records, ensuring compliance with accounting standards, and providing actionable insights to support informed business decisions. My role involves managing daily financial transactions, preparing financial statements, reconciling accounts, and assisting with budgeting, forecasting, and tax preparation. Key Responsibilities: Maintain and update general ledger and trial balance Record and categorize income, expenses, and all financial transactions Perform bank and credit card reconciliations Manage accounts payable (A/P) and accounts receivable (A/R) Track assets, liabilities, capital, and equity Generate accurate financial reports: P&L, Balance Sheet, Cash Flow Statements Ensure timely and accurate invoicing and payment processing Assist with budgeting, forecasting, and cash flow management Prepare documents for audits and tax filings Maintain confidentiality and compliance with financial regulations Tools & Software Expertise:
QuickBooks, Xero, Wave, Tally, ERP Software, Microsoft Excel With a detail-oriented mindset and a passion for numbers, I help businesses stay financially organized, audit-ready, and strategically aligned for growth.