I am a professional Accountant with a broad skill covering finance,audit,Reporting and tax consulting.I have in-dept skills in the use of excel (Pivot,Vlook up,Hlook up,Xlook up,Concatination,etc),accounting softwares like sage evolution,Tally,Quick book,Microsoft Dynamic Navission ? Lead the companies’ financial accounting, reporting and control activities; ensuring they are carried out efficiently and line with best practice and statutory requirements ? Provide accurate and timely financial services including setting monthly budgets, forecasts, cash flow analysis, management and financial accounts and advice support inform decision making at all level. ? Analyses business operations, financial forecasts, trends, costs, revenues, financial commitments and obligations to project future revenues and expenses to provide effective advice and reporting where required. ? Manage the annual audit process in conjunction with the appointed external auditors to ensure statutory accounts are produced within the required timelines. ? Monitor financial performance by measuring and analyzing results; initiating corrective actions, minimizing the impact of the variances ? Manages daily cash flow, ensuring availability of capital to meet all business obligations. ? Develop and document business processes and accounting policies to maintain and strengthen internal controls. ? Ensure timely preparation and rendition of Audited Financial Statements (AFS) and the timely filing of the AFS with the relevant statutory agencies. ? Responsible for month-end and year-end accounting period close of process and monthly trial balance review to ensure integrity and correctness of the company’s accounting records. ? Coordinate the preparation and renditions of statutory returns and compliance within the statutory provisions. ? Prepare monthly loan analysis, survey of monthly schedules and ensure that interest charged on account is in line with applicable offer letter ? Monthly Fixed Asset Management to reconcile asset register on Powersoft with GL balances covering, additions, disposals, depreciation and amortization to ensure there are no discrepancies. ? Ensure Quality Control over financial transactions and financial reporting by ensuring timely trial balance review, preparation of schedules to accounts and bank reconciliation reports ? Develop annual operating budgets as well as all project budgets and oversee them. ? Manage and comply with Local, State and Federal Government statutory requirements and tax filings. ? Oversee accounts payable, accounts receivable and payroll functions across the companies in the group ? Prepare Intercompany reconciliation and statements ? Develop and execute the financial strategy of the company, ensuring that the company at all times is profitable, risk protected and financially strong. ? Benchmarking and managing key suppliers to ensure that cost effective solutions are provided for the company. ? Inventory management and reconciliation