michaelkyalo460
About Candidate
i was introduced to this site by one Kenyan who works in UK, and am looking forward to be given any opportunity which is there, although i have done accounts but i can start from there. thanks in advance.
A detail-oriented certified public accountant well versed in handling documentation, accounting and financial processes, I am well prepared to surpass your expectations for the position of Finance personnel. I believe that the experience and skills I have gathered and my ability to always ensure excellence in all the roles handed to me presents me as the best fit for this position. I am a member of ICPAK in good standing.
Currently I am working with Career Directions Ltd as an Finance Assistant where part of my roles are; managing the I-tax portal, assisting in managing cash accounts, recording fixed asset acquisitions and disposition in the accounting system, assisting with accounts receivables, accounts payable and general bookkeeping on Quick Books and SAP as well as maintaining an up-to-date accounting system and database for Rocky Driving School our client.
Accustomed to success and getting things done, I enjoy challenges and have a strong work ethic which enables me to achieve my objectives. Most importantly, your organization offers tremendous growth opportunities and avenues to use my vast experience. Some of the skills I have amassed includes; financial statement, financial reporting, accounting as well as tax and statutory deductions, providing me a firm foundation for this role
Location
Education
BACHELOR OF COMMERCE
CPA FINALIST
QUICK BOOKS
COMPUTER PACKAGES
ATC FINALIST
KCSE- C+
Work & Experience
posting daily sales and expenses to QuickBooks, MPESA and bank reconciliations Preparation on monthly reports clerical work Reconcile invoices and identify discrepancies. Create and update expense reports. Process reimbursement forms. Prepare bank deposits. Enter financial transactions into internal databases. Check spreadsheets for accuracy. Maintain digital and physical financial records.
posting daily sales and expenses to QuickBooks, MPESA and bank reconciliations Reconcile invoices and identify discrepancies. Create and update expense reports. Process reimbursement forms. Prepare bank deposits. Enter financial transactions into internal databases. Check spreadsheets for accuracy.Maintain digital and physical financial records.
Preparation and maintenance of fixed assets register. Monthly payroll Preparation and submitting financial returns and payments of VAT, NSSF, PAYE, NHIF annual returns within the required timeline. Preparing balance sheet, including analysis of key debtors and creditors on weekly and monthly basis. Bank reconciliation for all bank accounts on monthly. Petty cash reconciliation on daily, weekly and monthly basis.
Participating in monthly stock take Posting sales and expenses in tally Bank reconciliations Raising journals for daily transactions Posting journals in Tally Monthly payroll Preparation and submitting financial returns and payments of VAT, NSSF, PAYE, NHIF annual returns within the required timeline Reconcile invoices and identify discrepancies. Create and update expense reports. Process reimbursement forms. Prepare bank deposits. Enter financial transactions into internal databases. Check spreadsheets for accuracy. Maintain digital and physical financial records. Updating books of accounts on a daily basis Maintaining fixed assets schedule for accounting, reconciliation and depreciation journal