general accounting
Syma Group companys
Total years of experience :5 years, 5 Months
Analysed monthly reporting to reconcile production operations and
general ledger.
•
Created quarterly and yearly balance sheets to track financial
trends and performance.
•
Prepared VAT and income tax forms for commercial and individual
clients.
•
Updated journal entries and accounts on accrual basis with Xero
software.
•
• Created periodic reports comparing budgeted costs to actual costs.
• Analysed monthly balance sheet accounts for corporate reporting.
Reviewed and processed employee expense reports and vendor
invoices for payment.
•
• Maintained integrity of general ledger, including chart of accounts.
Reconciled accounts from income and expense data to net worth
and assets.
الرواتب والاقرارات الضريبيه واعداد الحسابات الختاميه وتبويب الايرادات والمصروفات حسابات التكاليفيه
organizations. History working as part of financial team to manage
diverse financial functions, tax management and reporting. Works
closely with executive management on complex mergers and
acquisitions and divestitures. Hardworking and passionate job seeker
with strong organizational skills eager to secure entry-level
accounting position. Ready to help team achieve company goals.
Master of Business Administration, Finance manegment, 08/2022 Kassala university - Sudan - kassala, Sudan Higher National Diploma _ computer skills, Electronic accounting , 07/2018 MPIF - Sudan, Sudan Bachelor of Business Administration, Finance & accounting, 10/2017 Kassala university - Sudan, Sudan Analysed monthly reporting to reconcile production operations and general ledger. • Created quarterly and yearly balance sheets to track financial trends and performance. • Prepared VAT and income tax forms for commercial and individual clients. • Updated journal entries and accounts on accrual basis with Xero software. • • Created periodic reports comparing budgeted costs to actual costs. • Analysed monthly balance sheet accounts for corporate reporting. Reviewed and processed employee expense reports and vendor invoices for payment. • • Maintained integrity of general ledger, including chart of accounts. Reconciled accounts from income and expense data to net worth and assets.
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