
A finance professional with expertise in financial literacy, management accounting, and corporate finance principles. Demonstrates proficiency in creating cash flow projections, tracking expenses efficiently, and developing spreadsheets. Skilled in account reconciliation, month-end reconciliations, and internal financial audits. Adept at managing balance sheets and conducting profit and loss analysis with a strong command of Microsoft Excel.
Analytical and driven, showcasing strong problem-solving abilities and exceptional numerical proficiency. Demonstrates expertise in data analysis and financial modelling, combined with excellent communication and team collaboration skills. Poised to deliver significant contributions and strategic insights in finance administrator role.
Balance sheet reconcilliations
Vat reconcilliations & returns