Admin and Finance Officer
World Beach Resort
Total years of experience :6 years, 11 Months
Promoting and marketing the business, planning events, room bookings, handling customer complaints and queries, co-coordinating administrative procedures and systems and devise ways to streamline processes
Recruiting and training personnel and allocating office space and responsibilities, assessing staff performance, providing coaching and guidance to ensure maximum efficiency
Ensuring the smooth and adequate flow of information within the company and Manage schedules and deadlines
Monitoring costs and expenses to assist in budget preparation and Overseeing facilities services, maintenance activities and trades persons
Ensure operations adhere to policies and regulations
Reviewing and monitoring individual contract agreement made by and between Concern and third parties ensuring that the national laws are respected to enable organization being free from legal obligation
Organizing and supervising
Handled daily data entries, income/ sales reports, sales receipts, bank account transaction
Coded payables/ receivables, produced invoices and assisted in preparing monthly financial reports and financial reconciliation and reporting
Performed various routine adjustments to company documentations, records and logs
Kept financial control records for expenditures allotments, receipts and encumbrances
Prepared supporting documentation for auditing whenever customer and auditors required
Handled daily data entries, income/ sales reports, sales receipts, bank account transaction
Coded payables/ receivables, produced invoices and assisted in preparing monthly financial reports and financial reconciliation and reporting
Performed various routine adjustments to company documentations, records and logs
Kept financial control records for expenditures allotments, receipts and encumbrances
Prepared supporting documentation for auditing whenever customer and auditors required
Handled daily data entries, income/ sales reports, sales receipts, bank account transaction
Coded payables/ receivables, produced invoices and assisted in preparing monthly financial reports and financial reconciliation and reporting
Performed various routine adjustments to company documentations, records and logs
Kept financial control records for expenditures allotments, receipts and encumbrances
Prepared supporting documentation for auditing whenever customer and auditors required
Handled daily data entries, income/ sales reports, sales receipts, bank account transaction
Coded payables/ receivables, produced invoices and assisted in preparing monthly financial reports and financial reconciliation and reporting
Performed various routine adjustments to company documentations, records and logs
Kept financial control records for expenditures allotments, receipts and encumbrances
Prepared supporting documentation for auditing whenever customer and auditors required
Handled daily data entries, income/ sales reports, sales receipts, bank account transaction
Coded payables/ receivables, produced invoices and assisted in preparing monthly financial reports and financial reconciliation and reporting
Performed various routine adjustments to company documentations, records and logs
Kept financial control records for expenditures allotments, receipts and encumbrances
Prepared supporting documentation for auditing whenever customer and auditors required
Handled daily data entries, income/ sales reports, sales receipts, bank account transaction
Coded payables/ receivables, produced invoices and assisted in preparing monthly financial reports and financial reconciliation and reporting
Performed various routine adjustments to company documentations, records and logs
Kept financial control records for expenditures allotments, receipts and encumbrances
Prepared supporting documentation for auditing whenever customer and auditors required
Handled daily data entries, income/ sales reports, sales receipts, bank account transaction
Coded payables/ receivables, produced invoices and assisted in preparing monthly financial reports and financial reconciliation and reporting
Performed various routine adjustments to company documentations, records and logs
Kept financial control records for expenditures allotments, receipts and encumbrances
Prepared supporting documentation for auditing whenever customer and auditors required
Handled daily data entries, income/ sales reports, sales receipts, bank account transaction
Coded payables/ receivables, produced invoices and assisted in preparing monthly financial reports and financial reconciliation and reporting
Performed various routine adjustments to company documentations, records and logs
Kept financial control records for expenditures allotments, receipts and encumbrances
Prepared supporting documentation for auditing whenever customer and auditors required
Handled daily data entries, income/ sales reports, sales receipts, bank account transaction
Coded payables/ receivables, produced invoices and assisted in preparing monthly financial reports and financial reconciliation and reporting
Performed various routine adjustments to company documentations, records and logs
Kept financial control records for expenditures allotments, receipts and encumbrances
Prepared supporting documentation for auditing whenever customer and auditors required
Handled daily data entries, income/ sales reports, sales receipts, bank account transaction
Coded payables/ receivables, produced invoices and assisted in preparing monthly financial reports and financial reconciliation and reporting
Performed various routine adjustments to company documentations, records and logs
Kept financial control records for expenditures allotments, receipts and encumbrances
Prepared supporting documentation for auditing whenever customer and auditors required
Handled daily data entries, income/ sales reports, sales receipts, bank account transaction
Coded payables/ receivables, produced invoices and assisted in preparing monthly financial reports and financial reconciliation and reporting
Performed various routine adjustments to company documentations, records and logs
Kept financial control records for expenditures allotments, receipts and encumbrances
Prepared supporting documentation for auditing whenever customer and auditors required
Handled daily data entries, income/ sales reports, sales receipts, bank account transaction
Coded payables/ receivables, produced invoices and assisted in preparing monthly financial reports and financial reconciliation and reporting
Performed various routine adjustments to company documentations, records and logs
Kept financial control records for expenditures allotments, receipts and encumbrances
Prepared supporting documentation for auditing whenever customer and auditors required
Handled daily data entries, income/ sales reports, sales receipts, bank account transaction
Coded payables/ receivables, produced invoices and assisted in preparing monthly financial reports and financial reconciliation and reporting
Performed various routine adjustments to company documentations, records and logs
Kept financial control records for expenditures allotments, receipts and encumbrances
Prepared supporting documentation for auditing whenever customer and auditors required
Handled daily data entries, income/ sales reports, sales receipts, bank account transaction
Coded payables/ receivables, produced invoices and assisted in preparing monthly financial reports and financial reconciliation and reporting
Performed various routine adjustments to company documentations, records and logs
Kept financial control records for expenditures allotments, receipts and encumbrances
Prepared supporting documentation for auditing whenever customer and auditors required
Handled daily data entries, income/ sales reports, sales receipts, bank account transaction
Coded payables/ receivables, produced invoices and assisted in preparing monthly financial reports and financial reconciliation and reporting
Performed various routine adjustments to company documentations, records and logs
Kept financial control records for expenditures allotments, receipts and encumbrances
Prepared supporting documentation for auditing whenever customer and auditors required
Handled daily data entries, income/ sales reports, sales receipts, bank account transaction
Coded payables/ receivables, produced invoices and assisted in preparing monthly financial reports and financial reconciliation and reporting
Performed various routine adjustments to company documentations, records and logs
Kept financial control records for expenditures allotments, receipts and encumbrances
Prepared supporting documentation for auditing whenever customer and auditors required
Handled daily data entries, income/ sales reports, sales receipts, bank account transaction
Coded payables/ receivables, produced invoices and assisted in preparing monthly financial reports and financial reconciliation and reporting
Performed various routine adjustments to company documentations, records and logs
Kept financial control records for expenditures allotments, receipts and encumbrances
Prepared supporting documentation for auditing whenever customer and auditors required
Handled daily data entries, income/ sales reports, sales receipts, bank account transaction
Coded payables/ receivables, produced invoices and assisted in preparing monthly financial reports and financial reconciliation and reporting
Performed various routine adjustments to company documentations, records and logs
Kept financial control records for expenditures allotments, receipts and encumbrances
Prepared supporting documentation for auditing whenever customer and auditors required
Handled daily data entries, income/ sales reports, sales receipts, bank account transaction
Coded payables/ receivables, produced invoices and assisted in preparing monthly financial reports and financial reconciliation and reporting
Performed various routine adjustments to company documentations, records and logs
Kept financial control records for expenditures allotments, receipts and encumbrances
Prepared supporting documentation for auditing whenever customer and auditors required
Handled daily data entries, income/ sales reports, sales receipts, bank account transaction
Coded payables/ receivables, produced invoices and assisted in preparing monthly financial reports and financial reconciliation and reporting
Performed various routine adjustments to company documentations, records and logs
Kept financial control records for expenditures allotments, receipts and encumbrances
Prepared supporting documentation for auditing whenever customer and auditors required
Handled daily data entries, income/ sales reports, sales receipts, bank account transaction
Coded payables/ receivables, produced invoices and assisted in preparing monthly financial reports and financial reconciliation and reporting
Performed various routine adjustments to company documentations, records and logs
Kept financial control records for expenditures allotments, receipts and encumbrances
Prepared supporting documentation for auditing whenever customer and auditors required
Handled daily data entries, income/ sales reports, sales receipts, bank account transaction
Coded payables/ receivables, produced invoices and assisted in preparing monthly financial reports and financial reconciliation and reporting
Performed various routine adjustments to company documentations, records and logs
Kept financial control records for expenditures allotments, receipts and encumbrances
Prepared supporting documentation for auditing whenever customer and auditors required
Handled daily data entries, income/ sales reports, sales receipts, bank account transaction
Coded payables/ receivables, produced invoices and assisted in preparing monthly financial reports and financial reconciliation and reporting
Performed various routine adjustments to company documentations, records and logs
Kept financial control records for expenditures allotments, receipts and encumbrances
Prepared supporting documentation for auditing whenever customer and auditors required
Handled daily data entries, income/ sales reports, sales receipts, bank account transaction
Coded payables/ receivables, produced invoices and assisted in preparing monthly financial reports and financial reconciliation and reporting
Performed various routine adjustments to company documentations, records and logs
Kept financial control records for expenditures allotments, receipts and encumbrances
Prepared supporting documentation for auditing whenever customer and auditors required
Handled daily data entries, income/ sales reports, sales receipts, bank account transaction
Coded payables/ receivables, produced invoices and assisted in preparing monthly financial reports and financial reconciliation and reporting
Performed various routine adjustments to company documentations, records and logs
Kept financial control records for expenditures allotments, receipts and encumbrances
Prepared supporting documentation for auditing whenever customer and auditors required
Handled daily data entries, income/ sales reports, sales receipts, bank account transaction
Coded payables/ receivables, produced invoices and assisted in preparing monthly financial reports and financial reconciliation and reporting
Performed various routine adjustments to company documentations, records and logs
Kept financial control records for expenditures allotments, receipts and encumbrances
Prepared supporting documentation for auditing whenever customer and auditors required
Handled daily data entries, income/ sales reports, sales receipts, bank account transaction
Coded payables/ receivables, produced invoices and assisted in preparing monthly financial reports and financial reconciliation and reporting
Performed various routine adjustments to company documentations, records and logs
Kept financial control records for expenditures allotments, receipts and encumbrances
Prepared supporting documentation for auditing whenever customer and auditors required
Handled daily data entries, income/ sales reports, sales receipts, bank account transaction
Coded payables/ receivables, produced invoices and assisted in preparing monthly financial reports and financial reconciliation and reporting
Performed various routine adjustments to company documentations, records and logs
Kept financial control records for expenditures allotments, receipts and encumbrances
Prepared supporting documentation for auditing whenever customer and auditors required
Handled daily data entries, income/ sales reports, sales receipts, bank account transaction
Coded payables/ receivables, produced invoices and assisted in preparing monthly financial reports and financial reconciliation and reporting
Performed various routine adjustments to company documentations, records and logs
Kept financial control records for expenditures allotments, receipts and encumbrances
Prepared supporting documentation for auditing whenever customer and auditors required
Handled daily data entries, income/ sales reports, sales receipts, bank account transaction
Coded payables/ receivables, produced invoices and assisted in preparing monthly financial reports and financial reconciliation and reporting
Performed various routine adjustments to company documentations, records and logs
Kept financial control records for expenditures allotments, receipts and encumbrances
Prepared supporting documentation for auditing whenever customer and auditors required
Handled daily data entries, income/ sales reports, sales receipts, bank account transaction
Coded payables/ receivables, produced invoices and assisted in preparing monthly financial reports and financial reconciliation and reporting
Performed various routine adjustments to company documentations, records and logs
Kept financial control records for expenditures allotments, receipts and encumbrances
Prepared supporting documentation for auditing whenever customer and auditors required
Handled daily data entries, income/ sales reports, sales receipts, bank account transaction
Coded payables/ receivables, produced invoices and assisted in preparing monthly financial reports and financial reconciliation and reporting
Performed various routine adjustments to company documentations, records and logs
Kept financial control records for expenditures allotments, receipts and encumbrances
Prepared supporting documentation for auditing whenever customer and auditors required
Handled daily data entries, income/ sales reports, sales receipts, bank account transaction
Coded payables/ receivables, produced invoices and assisted in preparing monthly financial reports and financial reconciliation and reporting
Performed various routine adjustments to company documentations, records and logs
Kept financial control records for expenditures allotments, receipts and encumbrances
Prepared supporting documentation for auditing whenever customer and auditors required
Handled daily data entries, income/ sales reports, sales receipts, bank account transaction
Coded payables/ receivables, produced invoices and assisted in preparing monthly financial reports and financial reconciliation and reporting
Performed various routine adjustments to company documentations, records and logs
Kept financial control records for expenditures allotments, receipts and encumbrances
Prepared supporting documentation for auditing whenever customer and auditors required
Handled daily data entries, income/ sales reports, sales receipts, bank account transaction
Coded payables/ receivables, produced invoices and assisted in preparing monthly financial reports and financial reconciliation and reporting
Performed various routine adjustments to company documentations, records and logs
Kept financial control records for expenditures allotments, receipts and encumbrances
Prepared supporting documentation for auditing whenever customer and auditors required
Handled daily data entries, income/ sales reports, sales receipts, bank account transaction
Coded payables/ receivables, produced invoices and assisted in preparing monthly financial reports and financial reconciliation and reporting
Performed various routine adjustments to company documentations, records and logs
Kept financial control records for expenditures allotments, receipts and encumbrances
Prepared supporting documentation for auditing whenever customer and auditors required
Handled daily data entries, income/ sales reports, sales receipts, bank account transaction
Coded payables/ receivables, produced invoices and assisted in preparing monthly financial reports and financial reconciliation and reporting
Performed various routine adjustments to company documentations, records and logs
Kept financial control records for expenditures allotments, receipts and encumbrances
Prepared supporting documentation for auditing whenever customer and auditors required
Handled daily data entries, income/ sales reports, sales receipts, bank account transaction
Coded payables/ receivables, produced invoices and assisted in preparing monthly financial reports and financial reconciliation and reporting
Performed various routine adjustments to company documentations, records and logs
Kept financial control records for expenditures allotments, receipts and encumbrances
Prepared supporting documentation for auditing whenever customer and auditors required
Handled daily data entries, income/ sales reports, sales receipts, bank account transaction
Coded payables/ receivables, produced invoices and assisted in preparing monthly financial reports and financial reconciliation and reporting
Performed various routine adjustments to company documentations, records and logs
Kept financial control records for expenditures allotments, receipts and encumbrances
Prepared supporting documentation for auditing whenever customer and auditors required
Handled daily data entries, income/ sales reports, sales receipts, bank account transaction
Coded payables/ receivables, produced invoices and assisted in preparing monthly financial reports and financial reconciliation and reporting
Performed various routine adjustments to company documentations, records and logs
Kept financial control records for expenditures allotments, receipts and encumbrances
Prepared supporting documentation for auditing whenever customer and auditors required
Handled daily data entries, income/ sales reports, sales receipts, bank account transaction
Coded payables/ receivables, produced invoices and assisted in preparing monthly financial reports and financial reconciliation and reporting
Performed various routine adjustments to company documentations, records and logs
Kept financial control records for expenditures allotments, receipts and encumbrances
Prepared supporting documentation for auditing whenever customer and auditors required
Handled daily data entries, income/ sales reports, sales receipts, bank account transaction
Coded payables/ receivables, produced invoices and assisted in preparing monthly financial reports and financial reconciliation and reporting
Performed various routine adjustments to company documentations, records and logs
Kept financial control records for expenditures allotments, receipts and encumbrances
Prepared supporting documentation for auditing whenever customer and auditors required
Handled daily data entries, income/ sales reports, sales receipts, bank account transaction
Coded payables/ receivables, produced invoices and assisted in preparing monthly financial reports and financial reconciliation and reporting
Performed various routine adjustments to company documentations, records and logs
Kept financial control records for expenditures allotments, receipts and encumbrances
Prepared supporting documentation for auditing whenever customer and auditors required
Handled daily data entries, income/ sales reports, sales receipts, bank account transaction
Coded payables/ receivables, produced invoices and assisted in preparing monthly financial reports and financial reconciliation and reporting
Performed various routine adjustments to company documentations, records and logs
Kept financial control records for expenditures allotments, receipts and encumbrances
Prepared supporting documentation for auditing whenever customer and auditors required
Handled daily data entries, income/ sales reports, sales receipts, bank account transaction
Coded payables/ receivables, produced invoices and assisted in preparing monthly financial reports and financial reconciliation and reporting
Performed various routine adjustments to company documentations, records and logs
Kept financial control records for expenditures allotments, receipts and encumbrances
Prepared supporting documentation for auditing whenever customer and auditors required
Handled daily data entries, income/ sales reports, sales receipts, bank account transaction
Coded payables/ receivables, produced invoices and assisted in preparing monthly financial reports and financial reconciliation and reporting
Performed various routine adjustments to company documentations, records and logs
Kept financial control records for expenditures allotments, receipts and encumbrances
Prepared supporting documentation for auditing whenever customer and auditors required
Handled daily data entries, income/ sales reports, sales receipts, bank account transaction
Coded payables/ receivables, produced invoices and assisted in preparing monthly financial reports and financial reconciliation and reporting
Performed various routine adjustments to company documentations, records and logs
Kept financial control records for expenditures allotments, receipts and encumbrances
Prepared supporting documentation for auditing whenever customer and auditors required
Handled daily data entries, income/ sales reports, sales receipts, bank account transaction
Coded payables/ receivables, produced invoices and assisted in preparing monthly financial reports and financial reconciliation and reporting
Performed various routine adjustments to company documentations, records and logs
Kept financial control records for expenditures allotments, receipts and encumbrances
Prepared supporting documentation for auditing whenever customer and auditors required
Handled daily data entries, income/ sales reports, sales receipts, bank account transaction
Coded payables/ receivables, produced invoices and assisted in preparing monthly financial reports and financial reconciliation and reporting
Performed various routine adjustments to company documentations, records and logs
Kept financial control records for expenditures allotments, receipts and encumbrances
Prepared supporting documentation for auditing whenever customer and auditors required
Handled daily data entries, income/ sales reports, sales receipts, bank account transaction
Coded payables/ receivables, produced invoices and assisted in preparing monthly financial reports and financial reconciliation and reporting
Performed various routine adjustments to company documentations, records and logs
Kept financial control records for expenditures allotments, receipts and encumbrances
Prepared supporting documentation for auditing whenever customer and auditors required
Handled daily data entries, income/ sales reports, sales receipts, bank account transaction
Coded payables/ receivables, produced invoices and assisted in preparing monthly financial reports and financial reconciliation and reporting
Performed various routine adjustments to company documentations, records and logs
Kept financial control records for expenditures allotments, receipts and encumbrances
Prepared supporting documentation for auditing whenever customer and auditors required
Handled daily data entries, income/ sales reports, sales receipts, bank account transaction
Coded payables/ receivables, produced invoices and assisted in preparing monthly financial reports and financial reconciliation and reporting
Performed various routine adjustments to company documentations, records and logs
Kept financial control records for expenditures allotments, receipts and encumbrances
Prepared supporting documentation for auditing whenever customer and auditors required
Handled daily data entries, income/ sales reports, sales receipts, bank account transaction
Coded payables/ receivables, produced invoices and assisted in preparing monthly financial reports and financial reconciliation and reporting
Performed various routine adjustments to company documentations, records and logs
Kept financial control records for expenditures allotments, receipts and encumbrances
Prepared supporting documentation for auditing whenever customer and auditors required
Handled daily data entries, income/ sales reports, sales receipts, bank account transaction
Coded payables/ receivables, produced invoices and assisted in preparing monthly financial reports and financial reconciliation and reporting
Performed various routine adjustments to company documentations, records and logs
Kept financial control records for expenditures allotments, receipts and encumbrances
Prepared supporting documentation for auditing whenever customer and auditors required
Handled daily data entries, income/ sales reports, sales receipts, bank account transaction
Coded payables/ receivables, produced invoices and assisted in preparing monthly financial reports and financial reconciliation and reporting
Performed various routine adjustments to company documentations, records and logs
Kept financial control records for expenditures allotments, receipts and encumbrances
Prepared supporting documentation for auditing whenever customer and auditors required
Handled daily data entries, income/ sales reports, sales receipts, bank account transaction
Coded payables/ receivables, produced invoices and assisted in preparing monthly financial reports and financial reconciliation and reporting
Performed various routine adjustments to company documentations, records and logs
Kept financial control records for expenditures allotments, receipts and encumbrances
Prepared supporting documentation for auditing whenever customer and auditors required
Handled daily data entries, income/ sales reports, sales receipts, bank account transaction
Coded payables/ receivables, produced invoices and assisted in preparing monthly financial reports and financial reconciliation and reporting
Performed various routine adjustments to company documentations, records and logs
Kept financial control records for expenditures allotments, receipts and encumbrances
Prepared supporting documentation for auditing whenever customer and auditors required
Handled daily data entries, income/ sales reports, sales receipts, bank account transaction
Coded payables/ receivables, produced invoices and assisted in preparing monthly financial reports and financial reconciliation and reporting
Performed various routine adjustments to company documentations, records and logs
Kept financial control records for expenditures allotments, receipts and encumbrances
Prepared supporting documentation for auditing whenever customer and auditors required
Handled daily data entries, income/ sales reports, sales receipts, bank account transaction
Coded payables/ receivables, produced invoices and assisted in preparing monthly financial reports and financial reconciliation and reporting
Performed various routine adjustments to company documentations, records and logs
Kept financial control records for expenditures allotments, receipts and encumbrances
Prepared supporting documentation for auditing whenever customer and auditors required
Handled daily data entries, income/ sales reports, sales receipts, bank account transaction
Coded payables/ receivables, produced invoices and assisted in preparing monthly financial reports and financial reconciliation and reporting
Performed various routine adjustments to company documentations, records and logs
Kept financial control records for expenditures allotments, receipts and encumbrances
Prepared supporting documentation for auditing whenever customer and auditors required
Handled daily data entries, income/ sales reports, sales receipts, bank account transaction
Coded payables/ receivables, produced invoices and assisted in preparing monthly financial reports and financial reconciliation and reporting
Performed various routine adjustments to company documentations, records and logs
Kept financial control records for expenditures allotments, receipts and encumbrances
Prepared supporting documentation for auditing whenever customer and auditors required
Handled daily data entries, income/ sales reports, sales receipts, bank account transaction
Coded payables/ receivables, produced invoices and assisted in preparing monthly financial reports and financial reconciliation and reporting
Performed various routine adjustments to company documentations, records and logs
Kept financial control records for expenditures allotments, receipts and encumbrances
Prepared supporting documentation for auditing whenever customer and auditors required
Handled daily data entries, income/ sales reports, sales receipts, bank account transaction
Coded payables/ receivables, produced invoices and assisted in preparing monthly financial reports and financial reconciliation and reporting
Performed various routine adjustments to company documentations, records and logs
Kept financial control records for expenditures allotments, receipts and encumbrances
Prepared supporting documentation for auditing whenever customer and auditors required
Handled daily data entries, income/ sales reports, sales receipts, bank account transaction
Coded payables/ receivables, produced invoices and assisted in preparing monthly financial reports and financial reconciliation and reporting
Performed various routine adjustments to company documentations, records and logs
Kept financial control records for expenditures allotments, receipts and encumbrances
Prepared supporting documentation for auditing whenever customer and auditors required
Handled daily data entries, income/ sales reports, sales receipts, bank account transaction
Coded payables/ receivables, produced invoices and assisted in preparing monthly financial reports and financial reconciliation and reporting
Performed various routine adjustments to company documentations, records and logs
Kept financial control records for expenditures allotments, receipts and encumbrances
Prepared supporting documentation for auditing whenever customer and auditors required
Handled daily data entries, income/ sales reports, sales receipts, bank account transaction
Coded payables/ receivables, produced invoices and assisted in preparing monthly financial reports and financial reconciliation and reporting
Performed various routine adjustments to company documentations, records and logs
Kept financial control records for expenditures allotments, receipts and encumbrances
Prepared supporting documentation for auditing whenever customer and auditors required
Handled daily data entries, income/ sales reports, sales receipts, bank account transaction
Coded payables/ receivables, produced invoices and assisted in preparing monthly financial reports and financial reconciliation and reporting
Performed various routine adjustments to company documentations, records and logs
Kept financial control records for expenditures allotments, receipts and encumbrances
Prepared supporting documentation for auditing whenever customer and auditors required
Handled daily data entries, income/ sales reports, sales receipts, bank account transaction
Coded payables/ receivables, produced invoices and assisted in preparing monthly financial reports and financial reconciliation and reporting
Performed various routine adjustments to company documentations, records and logs
Kept financial control records for expenditures allotments, receipts and encumbrances
Prepared supporting documentation for auditing whenever customer and auditors required
Handled daily data entries, income/ sales reports, sales receipts, bank account transaction
Coded payables/ receivables, produced invoices and assisted in preparing monthly financial reports and financial reconciliation and reporting
Performed various routine adjustments to company documentations, records and logs
Kept financial control records for expenditures allotments, receipts and encumbrances
Prepared supporting documentation for auditing whenever customer and auditors required
Handled daily data entries, income/ sales reports, sales receipts, bank account transaction
Coded payables/ receivables, produced invoices and assisted in preparing monthly financial reports and financial reconciliation and reporting
Performed various routine adjustments to company documentations, records and logs
Kept financial control records for expenditures allotments, receipts and encumbrances
Prepared supporting documentation for auditing whenever customer and auditors required
Handled daily data entries, income/ sales reports, sales receipts, bank account transaction
Coded payables/ receivables, produced invoices and assisted in preparing monthly financial reports and financial reconciliation and reporting
Performed various routine adjustments to company documentations, records and logs
Kept financial control records for expenditures allotments, receipts and encumbrances
Prepared supporting documentation for auditing whenever customer and auditors required
Handled daily data entries, income/ sales reports, sales receipts, bank account transaction
Coded payables/ receivables, produced invoices and assisted in preparing monthly financial reports and financial reconciliation and reporting
Performed various routine adjustments to company documentations, records and logs
Kept financial control records for expenditures allotments, receipts and encumbrances
Prepared supporting documentation for auditing whenever customer and auditors required
Handled daily data entries, income/ sales reports, sales receipts, bank account transaction
Coded payables/ receivables, produced invoices and assisted in preparing monthly financial reports and financial reconciliation and reporting
Performed various routine adjustments to company documentations, records and logs
Kept financial control records for expenditures allotments, receipts and encumbrances
Prepared supporting documentation for auditing whenever customer and auditors required
Handled daily data entries, income/ sales reports, sales receipts, bank account transaction
Coded payables/ receivables, produced invoices and assisted in preparing monthly financial reports and financial reconciliation and reporting
Performed various routine adjustments to company documentations, records and logs
Kept financial control records for expenditures allotments, receipts and encumbrances
Prepared supporting documentation for auditing whenever customer and auditors required
Handled daily data entries, income/ sales reports, sales receipts, bank account transaction
Coded payables/ receivables, produced invoices and assisted in preparing monthly financial reports and financial reconciliation and reporting
Performed various routine adjustments to company documentations, records and logs
Kept financial control records for expenditures allotments, receipts and encumbrances
Prepared supporting documentation for auditing whenever customer and auditors required
Handled daily data entries, income/ sales reports, sales receipts, bank account transaction
Coded payables/ receivables, produced invoices and assisted in preparing monthly financial reports and financial reconciliation and reporting
Performed various routine adjustments to company documentations, records and logs
Kept financial control records for expenditures allotments, receipts and encumbrances
Prepared supporting documentation for auditing whenever customer and auditors required
Handled daily data entries, income/ sales reports, sales receipts, bank account transaction
Coded payables/ receivables, produced invoices and assisted in preparing monthly financial reports and financial reconciliation and reporting
Performed various routine adjustments to company documentations, records and logs
Kept financial control records for expenditures allotments, receipts and encumbrances
Prepared supporting documentation for auditing whenever customer and auditors required
Handled daily data entries, income/ sales reports, sales receipts, bank account transaction
Coded payables/ receivables, produced invoices and assisted in preparing monthly financial reports and financial reconciliation and reporting
Performed various routine adjustments to company documentations, records and logs
Kept financial control records for expenditures allotments, receipts and encumbrances
Prepared supporting documentation for auditing whenever customer and auditors required
Handled daily data entries, income/ sales reports, sales receipts, bank account transaction
Coded payables/ receivables, produced invoices and assisted in preparing monthly financial reports and financial reconciliation and reporting
Performed various routine adjustments to company documentations, records and logs
Kept financial control records for expenditures allotments, receipts and encumbrances
Prepared supporting documentation for auditing whenever customer and auditors required
Handled daily data entries, income/ sales reports, sales receipts, bank account transaction
Coded payables/ receivables, produced invoices and assisted in preparing monthly financial reports and financial reconciliation and reporting
Performed various routine adjustments to company documentations, records and logs
Kept financial control records for expenditures allotments, receipts and encumbrances
Prepared supporting documentation for auditing whenever customer and auditors required
Handled daily data entries, income/ sales reports, sales receipts, bank account transaction
Coded payables/ receivables, produced invoices and assisted in preparing monthly financial reports and financial reconciliation and reporting
Performed various routine adjustments to company documentations, records and logs
Kept financial control records for expenditures allotments, receipts and encumbrances
Prepared supporting documentation for auditing whenever customer and auditors required
Handled daily data entries, income/ sales reports, sales receipts, bank account transaction
Coded payables/ receivables, produced invoices and assisted in preparing monthly financial reports and financial reconciliation and reporting
Performed various routine adjustments to company documentations, records and logs
Kept financial control records for expenditures allotments, receipts and encumbrances
Prepared supporting documentation for auditing whenever customer and auditors required
Handled daily data entries, income/ sales reports, sales receipts, bank account transaction
Coded payables/ receivables, produced invoices and assisted in preparing monthly financial reports and financial reconciliation and reporting
Performed various routine adjustments to company documentations, records and logs
Kept financial control records for expenditures allotments, receipts and encumbrances
Prepared supporting documentation for auditing whenever customer and auditors required
Handled daily data entries, income/ sales reports, sales receipts, bank account transaction
Coded payables/ receivables, produced invoices and assisted in preparing monthly financial reports and financial reconciliation and reporting
Performed various routine adjustments to company documentations, records and logs
Kept financial control records for expenditures allotments, receipts and encumbrances
Prepared supporting documentation for auditing whenever customer and auditors required
Handled daily data entries, income/ sales reports, sales receipts, bank account transaction
Coded payables/ receivables, produced invoices and assisted in preparing monthly financial reports and financial reconciliation and reporting
Performed various routine adjustments to company documentations, records and logs
Kept financial control records for expenditures allotments, receipts and encumbrances
Prepared supporting documentation for auditing whenever customer and auditors required
Handled daily data entries, income/ sales reports, sales receipts, bank account transaction
Coded payables/ receivables, produced invoices and assisted in preparing monthly financial reports and financial reconciliation and reporting
Performed various routine adjustments to company documentations, records and logs
Kept financial control records for expenditures allotments, receipts and encumbrances
Prepared supporting documentation for auditing whenever customer and auditors required
Handled daily data entries, income/ sales reports, sales receipts, bank account transaction
Coded payables/ receivables, produced invoices and assisted in preparing monthly financial reports and financial reconciliation and reporting
Performed various routine adjustments to company documentations, records and logs
Kept financial control records for expenditures allotments, receipts and encumbrances
Prepared supporting documentation for auditing whenever customer and auditors required
Handled daily data entries, income/ sales reports, sales receipts, bank account transaction
Coded payables/ receivables, produced invoices and assisted in preparing monthly financial reports and financial reconciliation and reporting
Performed various routine adjustments to company documentations, records and logs
Kept financial control records for expenditures allotments, receipts and encumbrances
Prepared supporting documentation for auditing whenever customer and auditors required
Handled daily data entries, income/ sales reports, sales receipts, bank account transaction
Coded payables/ receivables, produced invoices and assisted in preparing monthly financial reports and financial reconciliation and reporting
Performed various routine adjustments to company documentations, records and logs
Kept financial control records for expenditures allotments, receipts and encumbrances
Prepared supporting documentation for auditing whenever customer and auditors required
Handled daily data entries, income/ sales reports, sales receipts, bank account transaction
Coded payables/ receivables, produced invoices and assisted in preparing monthly financial reports and financial reconciliation and reporting
Performed various routine adjustments to company documentations, records and logs
Kept financial control records for expenditures allotments, receipts and encumbrances
Prepared supporting documentation for auditing whenever customer and auditors required
Handled daily data entries, income/ sales reports, sales receipts, bank account transaction
Coded payables/ receivables, produced invoices and assisted in preparing monthly financial reports and financial reconciliation and reporting
Performed various routine adjustments to company documentations, records and logs
Kept financial control records for expenditures allotments, receipts and encumbrances
Prepared supporting documentation for auditing whenever customer and auditors required
Handled daily data entries, income/ sales reports, sales receipts, bank account transaction
Coded payables/ receivables, produced invoices and assisted in preparing monthly financial reports and financial reconciliation and reporting
Performed various routine adjustments to company documentations, records and logs
Kept financial control records for expenditures allotments, receipts and encumbrances
Prepared supporting documentation for auditing whenever customer and auditors required
Handled daily data entries, income/ sales reports, sales receipts, bank account transaction
Coded payables/ receivables, produced invoices and assisted in preparing monthly financial reports and financial reconciliation and reporting
Performed various routine adjustments to company documentations, records and logs
Kept financial control records for expenditures allotments, receipts and encumbrances
Prepared supporting documentation for auditing whenever customer and auditors required
Handled daily data entries, income/ sales reports, sales receipts, bank account transaction
Coded payables/ receivables, produced invoices and assisted in preparing monthly financial reports and financial reconciliation and reporting
Performed various routine adjustments to company documentations, records and logs
Kept financial control records for expenditures allotments, receipts and encumbrances
Prepared supporting documentation for auditing whenever customer and auditors required
Handled daily data entries, income/ sales reports, sales receipts, bank account transaction
Coded payables/ receivables, produced invoices and assisted in preparing monthly financial reports and financial reconciliation and reporting
Performed various routine adjustments to company documentations, records and logs
Kept financial control records for expenditures allotments, receipts and encumbrances
Prepared supporting documentation for auditing whenever customer and auditors required
Handled daily data entries, income/ sales reports, sales receipts, bank account transaction
Coded payables/ receivables, produced invoices and assisted in preparing monthly financial reports and financial reconciliation and reporting
Performed various routine adjustments to company documentations, records and logs
Kept financial control records for expenditures allotments, receipts and encumbrances
Prepared supporting documentation for auditing whenever customer and auditors required
Handled daily data entries, income/ sales reports, sales receipts, bank account transaction
Coded payables/ receivables, produced invoices and assisted in preparing monthly financial reports and financial reconciliation and reporting
Performed various routine adjustments to company documentations, records and logs
Kept financial control records for expenditures allotments, receipts and encumbrances
Prepared supporting documentation for auditing whenever customer and auditors required
Handled daily data entries, income/ sales reports, sales receipts, bank account transaction
Coded payables/ receivables, produced invoices and assisted in preparing monthly financial reports and financial reconciliation and reporting
Performed various routine adjustments to company documentations, records and logs
Kept financial control records for expenditures allotments, receipts and encumbrances
Prepared supporting documentation for auditing whenever customer and auditors required
Handled daily data entries, income/ sales reports, sales receipts, bank account transaction
Coded payables/ receivables, produced invoices and assisted in preparing monthly financial reports and financial reconciliation and reporting
Performed various routine adjustments to company documentations, records and logs
Kept financial control records for expenditures allotments, receipts and encumbrances
Prepared supporting documentation for auditing whenever customer and auditors required
Handled daily data entries, income/ sales reports, sales receipts, bank account transaction
Coded payables/ receivables, produced invoices and assisted in preparing monthly financial reports and financial reconciliation and reporting
Performed various routine adjustments to company documentations, records and logs
Kept financial control records for expenditures allotments, receipts and encumbrances
Prepared supporting documentation for auditing whenever customer and auditors required
Handled daily data entries, income/ sales reports, sales receipts, bank account transaction
Coded payables/ receivables, produced invoices and assisted in preparing monthly financial reports and financial reconciliation and reporting
Performed various routine adjustments to company documentations, records and logs
Kept financial control records for expenditures allotments, receipts and encumbrances
Prepared supporting documentation for auditing whenever customer and auditors required
Handled daily data entries, income/ sales reports, sales receipts, bank account transaction
Coded payables/ receivables, produced invoices and assisted in preparing monthly financial reports and financial reconciliation and reporting
Performed various routine adjustments to company documentations, records and logs
Kept financial control records for expenditures allotments, receipts and encumbrances
Prepared supporting documentation for auditing whenever customer and auditors required
Handled daily data entries, income/ sales reports, sales receipts, bank account transaction
Coded payables/ receivables, produced invoices and assisted in preparing monthly financial reports and financial reconciliation and reporting
Performed various routine adjustments to company documentations, records and logs
Kept financial control records for expenditures allotments, receipts and encumbrances
Prepared supporting documentation for auditing whenever customer and auditors required
Handled daily data entries, income/ sales reports, sales receipts, bank account transaction
Coded payables/ receivables, produced invoices and assisted in preparing monthly financial reports and financial reconciliation and reporting
Performed various routine adjustments to company documentations, records and logs
Kept financial control records for expenditures allotments, receipts and encumbrances
Prepared supporting documentation for auditing whenever customer and auditors required
Handled daily data entries, income/ sales reports, sales receipts, bank account transaction
Coded payables/ receivables, produced invoices and assisted in preparing monthly financial reports and financial reconciliation and reporting
Performed various routine adjustments to company documentations, records and logs
Kept financial control records for expenditures allotments, receipts and encumbrances
Prepared supporting documentation for auditing whenever customer and auditors required
Handled daily data entries, income/ sales reports, sales receipts, bank account transaction
Coded payables/ receivables, produced invoices and assisted in preparing monthly financial reports and financial reconciliation and reporting
Performed various routine adjustments to company documentations, records and logs
Kept financial control records for expenditures allotments, receipts and encumbrances
Prepared supporting documentation for auditing whenever customer and auditors required
Handled daily data entries, income/ sales reports, sales receipts, bank account transaction
Coded payables/ receivables, produced invoices and assisted in preparing monthly financial reports and financial reconciliation and reporting
Performed various routine adjustments to company documentations, records and logs
Kept financial control records for expenditures allotments, receipts and encumbrances
Prepared supporting documentation for auditing whenever customer and auditors required
Handled daily data entries, income/ sales reports, sales receipts, bank account transaction
Coded payables/ receivables, produced invoices and assisted in preparing monthly financial reports and financial reconciliation and reporting
Performed various routine adjustments to company documentations, records and logs
Kept financial control records for expenditures allotments, receipts and encumbrances
Prepared supporting documentation for auditing whenever customer and auditors required
Handled daily data entries, income/ sales reports, sales receipts, bank account transaction
Coded payables/ receivables, produced invoices and assisted in preparing monthly financial reports and financial reconciliation and reporting
Performed various routine adjustments to company documentations, records and logs
Kept financial control records for expenditures allotments, receipts and encumbrances
Prepared supporting documentation for auditing whenever customer and auditors required
Handled daily data entries, income/ sales reports, sales receipts, bank account transaction
Coded payables/ receivables, produced invoices and assisted in preparing monthly financial reports and financial reconciliation and reporting
Performed various routine adjustments to company documentations, records and logs
Kept financial control records for expenditures allotments, receipts and encumbrances
Prepared supporting documentation for auditing whenever customer and auditors required
Handled daily data entries, income/ sales reports, sales receipts, bank account transaction
Coded payables/ receivables, produced invoices and assisted in preparing monthly financial reports and financial reconciliation and reporting
Performed various routine adjustments to company documentations, records and logs
Kept financial control records for expenditures allotments, receipts and encumbrances
Prepared supporting documentation for auditing whenever customer and auditors required
Handled daily data entries, income/ sales reports, sales receipts, bank account transaction
Coded payables/ receivables, produced invoices and assisted in preparing monthly financial reports and financial reconciliation and reporting
Performed various routine adjustments to company documentations, records and logs
Kept financial control records for expenditures allotments, receipts and encumbrances
Prepared supporting documentation for auditing whenever customer and auditors required
Handled daily data entries, income/ sales reports, sales receipts, bank account transaction
Coded payables/ receivables, produced invoices and assisted in preparing monthly financial reports and financial reconciliation and reporting
Performed various routine adjustments to company documentations, records and logs
Kept financial control records for expenditures allotments, receipts and encumbrances
Prepared supporting documentation for auditing whenever customer and auditors required
Handled daily data entries, income/ sales reports, sales receipts, bank account transaction
Coded payables/ receivables, produced invoices and assisted in preparing monthly financial reports and financial reconciliation and reporting
Performed various routine adjustments to company documentations, records and logs
Kept financial control records for expenditures allotments, receipts and encumbrances
Prepared supporting documentation for auditing whenever customer and auditors required
Handled daily data entries, income/ sales reports, sales receipts, bank account transaction
Coded payables/ receivables, produced invoices and assisted in preparing monthly financial reports and financial reconciliation and reporting
Performed various routine adjustments to company documentations, records and logs
Kept financial control records for expenditures allotments, receipts and encumbrances
Prepared supporting documentation for auditing whenever customer and auditors required
Handled daily data entries, income/ sales reports, sales receipts, bank account transaction
Coded payables/ receivables, produced invoices and assisted in preparing monthly financial reports and financial reconciliation and reporting
Performed various routine adjustments to company documentations, records and logs
Kept financial control records for expenditures allotments, receipts and encumbrances
Prepared supporting documentation for auditing whenever customer and auditors required
Handled daily data entries, income/ sales reports, sales receipts, bank account transaction
Coded payables/ receivables, produced invoices and assisted in preparing monthly financial reports and financial reconciliation and reporting
Performed various routine adjustments to company documentations, records and logs
Kept financial control records for expenditures allotments, receipts and encumbrances
Prepared supporting documentation for auditing whenever customer and auditors required
Handled daily data entries, income/ sales reports, sales receipts, bank account transaction
Coded payables/ receivables, produced invoices and assisted in preparing monthly financial reports and financial reconciliation and reporting
Performed various routine adjustments to company documentations, records and logs
Kept financial control records for expenditures allotments, receipts and encumbrances
Prepared supporting documentation for auditing whenever customer and auditors required
Handled daily data entries, income/ sales reports, sales receipts, bank account transaction
Coded payables/ receivables, produced invoices and assisted in preparing monthly financial reports and financial reconciliation and reporting
Performed various routine adjustments to company documentations, records and logs
Kept financial control records for expenditures allotments, receipts and encumbrances
Prepared supporting documentation for auditing whenever customer and auditors required
Handled daily data entries, income/ sales reports, sales receipts, bank account transaction
Coded payables/ receivables, produced invoices and assisted in preparing monthly financial reports and financial reconciliation and reporting
Performed various routine adjustments to company documentations, records and logs
Kept financial control records for expenditures allotments, receipts and encumbrances
Prepared supporting documentation for auditing whenever customer and auditors required
Handled daily data entries, income/ sales reports, sales receipts, bank account transaction
Coded payables/ receivables, produced invoices and assisted in preparing monthly financial reports and financial reconciliation and reporting
Performed various routine adjustments to company documentations, records and logs
Kept financial control records for expenditures allotments, receipts and encumbrances
Prepared supporting documentation for auditing whenever customer and auditors required
Handled daily data entries, income/ sales reports, sales receipts, bank account transaction
Coded payables/ receivables, produced invoices and assisted in preparing monthly financial reports and financial reconciliation and reporting
Performed various routine adjustments to company documentations, records and logs
Kept financial control records for expenditures allotments, receipts and encumbrances
Prepared supporting documentation for auditing whenever customer and auditors required
Handled daily data entries, income/ sales reports, sales receipts, bank account transaction
Coded payables/ receivables, produced invoices and assisted in preparing monthly financial reports and financial reconciliation and reporting
Performed various routine adjustments to company documentations, records and logs
Kept financial control records for expenditures allotments, receipts and encumbrances
Prepared supporting documentation for auditing whenever customer and auditors required
Handled daily data entries, income/ sales reports, sales receipts, bank account transaction
Coded payables/ receivables, produced invoices and assisted in preparing monthly financial reports and financial reconciliation and reporting
Performed various routine adjustments to company documentations, records and logs
Kept financial control records for expenditures allotments, receipts and encumbrances
Prepared supporting documentation for auditing whenever customer and auditors required
Handled daily data entries, income/ sales reports, sales receipts, bank account transaction
Coded payables/ receivables, produced invoices and assisted in preparing monthly financial reports and financial reconciliation and reporting
Performed various routine adjustments to company documentations, records and logs
Kept financial control records for expenditures allotments, receipts and encumbrances
Prepared supporting documentation for auditing whenever customer and auditors required
Handled daily data entries, income/ sales reports, sales receipts, bank account transaction
Coded payables/ receivables, produced invoices and assisted in preparing monthly financial reports and financial reconciliation and reporting
Performed various routine adjustments to company documentations, records and logs
Kept financial control records for expenditures allotments, receipts and encumbrances
Prepared supporting documentation for auditing whenever customer and auditors required
Handled daily data entries, income/ sales reports, sales receipts, bank account transaction
Coded payables/ receivables, produced invoices and assisted in preparing monthly financial reports and financial reconciliation and reporting
Performed various routine adjustments to company documentations, records and logs
Kept financial control records for expenditures allotments, receipts and encumbrances
Prepared supporting documentation for auditing whenever customer and auditors required
Handled daily data entries, income/ sales reports, sales receipts, bank account transaction
Coded payables/ receivables, produced invoices and assisted in preparing monthly financial reports and financial reconciliation and reporting
Performed various routine adjustments to company documentations, records and logs
Kept financial control records for expenditures allotments, receipts and encumbrances
Prepared supporting documentation for auditing whenever customer and auditors required
Handled daily data entries, income/ sales reports, sales receipts, bank account transaction
Coded payables/ receivables, produced invoices and assisted in preparing monthly financial reports and financial reconciliation and reporting
Performed various routine adjustments to company documentations, records and logs
Kept financial control records for expenditures allotments, receipts and encumbrances
Prepared supporting documentation for auditing whenever customer and auditors required
Handled daily data entries, income/ sales reports, sales receipts, bank account transaction
Coded payables/ receivables, produced invoices and assisted in preparing monthly financial reports and financial reconciliation and reporting
Performed various routine adjustments to company documentations, records and logs
Kept financial control records for expenditures allotments, receipts and encumbrances
Prepared supporting documentation for auditing whenever customer and auditors required
Handled daily data entries, income/ sales reports, sales receipts, bank account transaction
Coded payables/ receivables, produced invoices and assisted in preparing monthly financial reports and financial reconciliation and reporting
Performed various routine adjustments to company documentations, records and logs
Kept financial control records for expenditures allotments, receipts and encumbrances
Prepared supporting documentation for auditing whenever customer and auditors required
Handled daily data entries, income/ sales reports, sales receipts, bank account transaction
Coded payables/ receivables, produced invoices and assisted in preparing monthly financial reports and financial reconciliation and reporting
Performed various routine adjustments to company documentations, records and logs
Kept financial control records for expenditures allotments, receipts and encumbrances
Prepared supporting documentation for auditing whenever customer and auditors required
Handled daily data entries, income/ sales reports, sales receipts, bank account transaction
Coded payables/ receivables, produced invoices and assisted in preparing monthly financial reports and financial reconciliation and reporting
Performed various routine adjustments to company documentations, records and logs
Kept financial control records for expenditures allotments, receipts and encumbrances
Prepared supporting documentation for auditing whenever customer and auditors required
Handled daily data entries, income/ sales reports, sales receipts, bank account transaction
Coded payables/ receivables, produced invoices and assisted in preparing monthly financial reports and financial reconciliation and reporting
Performed various routine adjustments to company documentations, records and logs
Kept financial control records for expenditures allotments, receipts and encumbrances
Prepared supporting documentation for auditing whenever customer and auditors required
Handled daily data entries, income/ sales reports, sales receipts, bank account transaction
Coded payables/ receivables, produced invoices and assisted in preparing monthly financial reports and financial reconciliation and reporting
Performed various routine adjustments to company documentations, records and logs
Kept financial control records for expenditures allotments, receipts and encumbrances
Prepared supporting documentation for auditing whenever customer and auditors required
Handled daily data entries, income/ sales reports, sales receipts, bank account transaction
Coded payables/ receivables, produced invoices and assisted in preparing monthly financial reports and financial reconciliation and reporting
Performed various routine adjustments to company documentations, records and logs
Kept financial control records for expenditures allotments, receipts and encumbrances
Prepared supporting documentation for auditing whenever customer and auditors required
Handled daily data entries, income/ sales reports, sales receipts, bank account transaction
Coded payables/ receivables, produced invoices and assisted in preparing monthly financial reports and financial reconciliation and reporting
Performed various routine adjustments to company documentations, records and logs
Kept financial control records for expenditures allotments, receipts and encumbrances
Prepared supporting documentation for auditing whenever customer and auditors required
Handled daily data entries, income/ sales reports, sales receipts, bank account transaction
Coded payables/ receivables, produced invoices and assisted in preparing monthly financial reports and financial reconciliation and reporting
Performed various routine adjustments to company documentations, records and logs
Kept financial control records for expenditures allotments, receipts and encumbrances
Prepared supporting documentation for auditing whenever customer and auditors required
Handled daily data entries, income/ sales reports, sales receipts, bank account transaction
Coded payables/ receivables, produced invoices and assisted in preparing monthly financial reports and financial reconciliation and reporting
Performed various routine adjustments to company documentations, records and logs
Kept financial control records for expenditures allotments, receipts and encumbrances
Prepared supporting documentation for auditing whenever customer and auditors required
Handled daily data entries, income/ sales reports, sales receipts, bank account transaction
Coded payables/ receivables, produced invoices and assisted in preparing monthly financial reports and financial reconciliation and reporting
Performed various routine adjustments to company documentations, records and logs
Kept financial control records for expenditures allotments, receipts and encumbrances
Prepared supporting documentation for auditing whenever customer and auditors required
Handled daily data entries, income/ sales reports, sales receipts, bank account transaction
Coded payables/ receivables, produced invoices and assisted in preparing monthly financial reports and financial reconciliation and reporting
Performed various routine adjustments to company documentations, records and logs
Kept financial control records for expenditures allotments, receipts and encumbrances
Prepared supporting documentation for auditing whenever customer and auditors required
Handled daily data entries, income/ sales reports, sales receipts, bank account transaction
Coded payables/ receivables, produced invoices and assisted in preparing monthly financial reports and financial reconciliation and reporting
Performed various routine adjustments to company documentations, records and logs
Kept financial control records for expenditures allotments, receipts and encumbrances
Prepared supporting documentation for auditing whenever customer and auditors required
Handled daily data entries, income/ sales reports, sales receipts, bank account transaction
Coded payables/ receivables, produced invoices and assisted in preparing monthly financial reports and financial reconciliation and reporting
Performed various routine adjustments to company documentations, records and logs
Kept financial control records for expenditures allotments, receipts and encumbrances
Prepared supporting documentation for auditing whenever customer and auditors required
Handled daily data entries, income/ sales reports, sales receipts, bank account transaction
Coded payables/ receivables, produced invoices and assisted in preparing monthly financial reports and financial reconciliation and reporting
Performed various routine adjustments to company documentations, records and logs
Kept financial control records for expenditures allotments, receipts and encumbrances
Prepared supporting documentation for auditing whenever customer and auditors required
Handled daily data entries, income/ sales reports, sales receipts, bank account transaction
Coded payables/ receivables, produced invoices and assisted in preparing monthly financial reports and financial reconciliation and reporting
Performed various routine adjustments to company documentations, records and logs
Kept financial control records for expenditures allotments, receipts and encumbrances
Prepared supporting documentation for auditing whenever customer and auditors required
Handled daily data entries, income/ sales reports, sales receipts, bank account transaction
Coded payables/ receivables, produced invoices and assisted in preparing monthly financial reports and financial reconciliation and reporting
Performed various routine adjustments to company documentations, records and logs
Kept financial control records for expenditures allotments, receipts and encumbrances
Prepared supporting documentation for auditing whenever customer and auditors required
Handled daily data entries, income/ sales reports, sales receipts, bank account transaction
Coded payables/ receivables, produced invoices and assisted in preparing monthly financial reports and financial reconciliation and reporting
Performed various routine adjustments to company documentations, records and logs
Kept financial control records for expenditures allotments, receipts and encumbrances
Prepared supporting documentation for auditing whenever customer and auditors required
Handled daily data entries, income/ sales reports, sales receipts, bank account transaction
Coded payables/ receivables, produced invoices and assisted in preparing monthly financial reports and financial reconciliation and reporting
Performed various routine adjustments to company documentations, records and logs
Kept financial control records for expenditures allotments, receipts and encumbrances
Prepared supporting documentation for auditing whenever customer and auditors required
Handled daily data entries, income/ sales reports, sales receipts, bank account transaction
Coded payables/ receivables, produced invoices and assisted in preparing monthly financial reports and financial reconciliation and reporting
Performed various routine adjustments to company documentations, records and logs
Kept financial control records for expenditures allotments, receipts and encumbrances
Prepared supporting documentation for auditing whenever customer and auditors required
Handled daily data entries, income/ sales reports, sales receipts, bank account transaction
Coded payables/ receivables, produced invoices and assisted in preparing monthly financial reports and financial reconciliation and reporting
Performed various routine adjustments to company documentations, records and logs
Kept financial control records for expenditures allotments, receipts and encumbrances
Prepared supporting documentation for auditing whenever customer and auditors required
Handled daily data entries, income/ sales reports, sales receipts, bank account transaction
Coded payables/ receivables, produced invoices and assisted in preparing monthly financial reports and financial reconciliation and reporting
Performed various routine adjustments to company documentations, records and logs
Kept financial control records for expenditures allotments, receipts and encumbrances
Prepared supporting documentation for auditing whenever customer and auditors required
Handled daily data entries, income/ sales reports, sales receipts, bank account transaction
Coded payables/ receivables, produced invoices and assisted in preparing monthly financial reports and financial reconciliation and reporting
Performed various routine adjustments to company documentations, records and logs
Kept financial control records for expenditures allotments, receipts and encumbrances
Prepared supporting documentation for auditing whenever customer and auditors required
Handled daily data entries, income/ sales reports, sales receipts, bank account transaction
Coded payables/ receivables, produced invoices and assisted in preparing monthly financial reports and financial reconciliation and reporting
Performed various routine adjustments to company documentations, records and logs
Kept financial control records for expenditures allotments, receipts and encumbrances
Prepared supporting documentation for auditing whenever customer and auditors required
Handled daily data entries, income/ sales reports, sales receipts, bank account transaction
Coded payables/ receivables, produced invoices and assisted in preparing monthly financial reports and financial reconciliation and reporting
Performed various routine adjustments to company documentations, records and logs
Kept financial control records for expenditures allotments, receipts and encumbrances
Prepared supporting documentation for auditing whenever customer and auditors required
Handled daily data entries, income/ sales reports, sales receipts, bank account transaction
Coded payables/ receivables, produced invoices and assisted in preparing monthly financial reports and financial reconciliation and reporting
Performed various routine adjustments to company documentations, records and logs
Kept financial control records for expenditures allotments, receipts and encumbrances
Prepared supporting documentation for auditing whenever customer and auditors required
Handled daily data entries, income/ sales reports, sales receipts, bank account transaction
Coded payables/ receivables, produced invoices and assisted in preparing monthly financial reports and financial reconciliation and reporting
Performed various routine adjustments to company documentations, records and logs
Kept financial control records for expenditures allotments, receipts and encumbrances
Prepared supporting documentation for auditing whenever customer and auditors required
Handled daily data entries, income/ sales reports, sales receipts, bank account transaction
Coded payables/ receivables, produced invoices and assisted in preparing monthly financial reports and financial reconciliation and reporting
Performed various routine adjustments to company documentations, records and logs
Kept financial control records for expenditures allotments, receipts and encumbrances
Prepared supporting documentation for auditing whenever customer and auditors required
Handled daily data entries, income/ sales reports, sales receipts, bank account transaction
Coded payables/ receivables, produced invoices and assisted in preparing monthly financial reports and financial reconciliation and reporting
Performed various routine adjustments to company documentations, records and logs
Kept financial control records for expenditures allotments, receipts and encumbrances
Prepared supporting documentation for auditing whenever customer and auditors required
Handled daily data entries, income/ sales reports, sales receipts, bank account transaction
Coded payables/ receivables, produced invoices and assisted in preparing monthly financial reports and financial reconciliation and reporting
Performed various routine adjustments to company documentations, records and logs
Kept financial control records for expenditures allotments, receipts and encumbrances
Prepared supporting documentation for auditing whenever customer and auditors required
Handled daily data entries, income/ sales reports, sales receipts, bank account transaction
Coded payables/ receivables, produced invoices and assisted in preparing monthly financial reports and financial reconciliation and reporting
Performed various routine adjustments to company documentations, records and logs
Kept financial control records for expenditures allotments, receipts and encumbrances
Prepared supporting documentation for auditing whenever customer and auditors required
Handled daily data entries, income/ sales reports, sales receipts, bank account transaction
Coded payables/ receivables, produced invoices and assisted in preparing monthly financial reports and financial reconciliation and reporting
Performed various routine adjustments to company documentations, records and logs
Kept financial control records for expenditures allotments, receipts and encumbrances
Prepared supporting documentation for auditing whenever customer and auditors required
Handled daily data entries, income/ sales reports, sales receipts, bank account transaction
Coded payables/ receivables, produced invoices and assisted in preparing monthly financial reports and financial reconciliation and reporting
Performed various routine adjustments to company documentations, records and logs
Kept financial control records for expenditures allotments, receipts and encumbrances
Prepared supporting documentation for auditing whenever customer and auditors required
Handled daily data entries, income/ sales reports, sales receipts, bank account transaction
Coded payables/ receivables, produced invoices and assisted in preparing monthly financial reports and financial reconciliation and reporting
Performed various routine adjustments to company documentations, records and logs
Kept financial control records for expenditures allotments, receipts and encumbrances
Prepared supporting documentation for auditing whenever customer and auditors required
Handled daily data entries, income/ sales reports, sales receipts, bank account transaction
Coded payables/ receivables, produced invoices and assisted in preparing monthly financial reports and financial reconciliation and reporting
Performed various routine adjustments to company documentations, records and logs
Kept financial control records for expenditures allotments, receipts and encumbrances
Prepared supporting documentation for auditing whenever customer and auditors required
Handled daily data entries, income/ sales reports, sales receipts, bank account transaction
Coded payables/ receivables, produced invoices and assisted in preparing monthly financial reports and financial reconciliation and reporting
Performed various routine adjustments to company documentations, records and logs
Kept financial control records for expenditures allotments, receipts and encumbrances
Prepared supporting documentation for auditing whenever customer and auditors required
Handled daily data entries, income/ sales reports, sales receipts, bank account transaction
Coded payables/ receivables, produced invoices and assisted in preparing monthly financial reports and financial reconciliation and reporting
Performed various routine adjustments to company documentations, records and logs
Kept financial control records for expenditures allotments, receipts and encumbrances
Prepared supporting documentation for auditing whenever customer and auditors required
Handled daily data entries, income/ sales reports, sales receipts, bank account transaction
Coded payables/ receivables, produced invoices and assisted in preparing monthly financial reports and financial reconciliation and reporting
Performed various routine adjustments to company documentations, records and logs
Kept financial control records for expenditures allotments, receipts and encumbrances
Prepared supporting documentation for auditing whenever customer and auditors required
Handled daily data entries, income/ sales reports, sales receipts, bank account transaction
Coded payables/ receivables, produced invoices and assisted in preparing monthly financial reports and financial reconciliation and reporting
Performed various routine adjustments to company documentations, records and logs
Kept financial control records for expenditures allotments, receipts and encumbrances
Prepared supporting documentation for auditing whenever customer and auditors required
Handled daily data entries, income/ sales reports, sales receipts, bank account transaction
Coded payables/ receivables, produced invoices and assisted in preparing monthly financial reports and financial reconciliation and reporting
Performed various routine adjustments to company documentations, records and logs
Kept financial control records for expenditures allotments, receipts and encumbrances
Prepared supporting documentation for auditing whenever customer and auditors required
Handled daily data entries, income/ sales reports, sales receipts, bank account transaction
Coded payables/ receivables, produced invoices and assisted in preparing monthly financial reports and financial reconciliation and reporting
Performed various routine adjustments to company documentations, records and logs
Kept financial control records for expenditures allotments, receipts and encumbrances
Prepared supporting documentation for auditing whenever customer and auditors required
Handled daily data entries, income/ sales reports, sales receipts, bank account transaction
Coded payables/ receivables, produced invoices and assisted in preparing monthly financial reports and financial reconciliation and reporting
Performed various routine adjustments to company documentations, records and logs
Kept financial control records for expenditures allotments, receipts and encumbrances
Prepared supporting documentation for auditing whenever customer and auditors required
Handled daily data entries, income/ sales reports, sales receipts, bank account transaction
Coded payables/ receivables, produced invoices and assisted in preparing monthly financial reports and financial reconciliation and reporting
Performed various routine adjustments to company documentations, records and logs
Kept financial control records for expenditures allotments, receipts and encumbrances
Prepared supporting documentation for auditing whenever customer and auditors required
Handled daily data entries, income/ sales reports, sales receipts, bank account transaction
Coded payables/ receivables, produced invoices and assisted in preparing monthly financial reports and financial reconciliation and reporting
Performed various routine adjustments to company documentations, records and logs
Kept financial control records for expenditures allotments, receipts and encumbrances
Prepared supporting documentation for auditing whenever customer and auditors required
Handled daily data entries, income/ sales reports, sales receipts, bank account transaction
Coded payables/ receivables, produced invoices and assisted in preparing monthly financial reports and financial reconciliation and reporting
Performed various routine adjustments to company documentations, records and logs
Kept financial control records for expenditures allotments, receipts and encumbrances
Prepared supporting documentation for auditing whenever customer and auditors required
Handled daily data entries, income/ sales reports, sales receipts, bank account transaction
Coded payables/ receivables, produced invoices and assisted in preparing monthly financial reports and financial reconciliation and reporting
Performed various routine adjustments to company documentations, records and logs
Kept financial control records for expenditures allotments, receipts and encumbrances
Prepared supporting documentation for auditing whenever customer and auditors required
Handled daily data entries, income/ sales reports, sales receipts, bank account transaction
Coded payables/ receivables, produced invoices and assisted in preparing monthly financial reports and financial reconciliation and reporting
Performed various routine adjustments to company documentations, records and logs
Kept financial control records for expenditures allotments, receipts and encumbrances
Prepared supporting documentation for auditing whenever customer and auditors required