With a Bachelor’s degree in Financial Economics and hands-on experience in accounts receivable & payable, bank reconciliation, cash flow management, financial statement preparation, and payroll (including international payroll processing), I bring a strong foundation in accounting and finance.
Currently, I assist in managing full set accounts, ensuring accuracy in financial reporting and compliance with accounting standards. I have a keen eye for process improvement and efficiency, seeking ways to optimize workflows and reduce redundancy in accounting operations.
Passionate about financial analysis and strategic accounting, I am eager to expand my expertise in budgeting, forecasting, and financial decision-making to contribute to business growth.
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Assist to prepare monthly financial reports,
including profit/loss statements, balance sheets,
and cash flow statements, to support strategic
decision-making
•
Monitor and manage organizational cash flow,
ensuring sufficient liquidity for operational needs
and identifying cost-saving opportunities
•
Conduct monthly bank reconciliations, resolving
discrepancies and ensuring 100% accuracy in
financial records
•
Process and review staff claims, ensuring
compliance with company policies and timely
reimbursements
•
Monitor transactions and identify irregularities in
invoices, preventing potential financial losses
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We will review the reports from both freelancer and employer to give the best decision. It will take 3-5 business days for reviewing after receiving two reports.