accounting manager
SMART VISION GROUP
Total years of experience :15 years, 9 Months
Oversee and manage all day-to-day accounting operations.
• Analyze financial data and prepare financial reports.
• Organize and prepare annual inventories and coordinate annual
audits.
• Oversee payroll processing and all payment and expense
processes.
• Prepare and manage budgets and prepare periodic reports
including income statements, debt analysis, and cash flow
analysis.
• Record financial and economic transactions in a comprehensive
and organized manner.
• Identify future expected financial resources and expenses.
• Prepare sub-plans and executive programs for administrative
affairs to achieve the main objectives of the institution.
• Inform all employees of administrative decisions after their
approval.
• Prepare and formulate administrative decisions and develop
appropriate plans in partnership with senior management.
• Manage periodic meetings of the institution and assist in issuing
appropriate decisions.
• Ensure that all administrative instructions are followed and take
appropriate action with violators.
• Approve vacation requests and appointment and dismissal
decisions.
• Supervise new recruitment meetings and make the final decision.
The basic and the most important step is to identify new business
opportunities by tapping the potential customers from different
countries.
• To plan, design, develop and implement different sales activities
by researching the customer's needs and requirements.
• To make sure that the existing clients are retained and maintained
while developing the new customers.
• To ensure that the all the sales and marketing activities are carried
out within the agreed budgets, volume, sales, and within the
given time scales.
• To take initiative and efforts to develop constructive and effective
solutions to any issues that slow down or hamper the export
procedures and activities.
• To constantly review distributor's performance and monitor their
work, so that relevant information can be provided to the
management.
Independent tax auditing services and certification for financial
statements and tax returns pursuant to the relevant tax
legislations, accounting principles issued by relevant market
regulators for different industries.
• Being team member and team manager leader of projects and
assisting to auditing and reporting of both international and local
firms.
• Accomplishing the tasks assigned, within strict deadlines by
working both in and out of regular working hours.
• Responsible for all financial, accounting and administrative works.
Reporting to HQ and budgeting.
• Responsible for the asset management, leasing and the expansion
of Turkish Property portfolio.
Following work in the Inputs and outputs Company.
• Working as the assistant of the operation of the leasing processes.
Responsible for the applications of import, insurance; following of
payments, classification and controlling.
• Monitor the work of warehouses.
• Commercial correspondence with companies abroad.
• Recording and reviewing expenses and monthly salaries.
monitoring and integrating the sales invoice.
• Calculation of the progress reports, monitoring of daily cash and
bank transactions and accounting
• Making consolidation report with group companies, tracking of
reconciliation.
• Preparation of monthly returns, making the cost of operation.
• Arrange payment plans and make follow-up, liquid management,
to create a daily financial report.
Following the recent market transactions and networking with
market competitors.
• Prepare weekly reports to inputs and outputs.
• Follow-up and registration the Invoices and expenses.
• Follow-up operations of the Fund and Bank.