Accountant
Vertex Capital Bank Brokers EST
Total years of experience :9 years, 9 Months
Manage financial records and prepare financial reports for the company
Ensure compliance with accounting standard sand regulations
Collected and reported monthly expense variances and explanations.
Managed payroll and payments processes efficiently, ensuring accurate and timely disbursement of salaries, benefits, and vendor payments while adhering to company policies and regulatory requirements.
Used accounting software to issue tax returns and prepare consolidated reports.
Managed cash flow effectively, ensuring all company liabilities were met in a timely manner and surplus funds were invested wisely.
Managing the teller function and customer service in the branch to ensure delivery of quality service to customers.
Risk & control Management, MIS & Reporting Facility management.
Evaluated employee performance and coached and trained to improve weak areas.
Monitored work flow to improve employee time management and increase productivity.
Handled customer complaints, resolved issues, and adjusted policies to meet changing needs.
Defined clear targets and objectives and communicated to other team members.
Cash Handling Counting and processing cash transactions accurately and securely, including deposits, withdrawals, and currency exchanges.
Follow bank procedures to count and manage all the founds received from customers.
Build and maintain customer relation by providing high quality services.
Cross-sold credit cards, loans and other bank products.
Answered customer inquiries and provided information on bank products and services.
Handling customer complaints, disputes, and escalations, and striving to achieve satisfactory resolutions.
Responding to customer inquiries via phone, email, or in person in a timely and professional manner.
Calculated correct order totals, updated accounts, and maintained detailed records for inventory management.
Manage financial records and prepare financial reports for the company
Ensure compliance with accounting standard sand regulations
Collected and reported monthly expense variances and explanations.
Analyse manufacturing costs and variances to ensure accuracy and identify opportunities for cost reduction.
Develop and maintain standard costs for materials, labour, and overhead, updating as necessary to reflect changes in production processes or market conditions.
Monitor inventory levels and valuation, reconciling inventory accounts and performing periodic physical inventory counts.
Prepare monthly, quarterly, and annual cost reports, providing analysis and explanations for variances to budget and forecast.
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