Finance professional with an experience of 8 years in Accounts,Finance,Taxation,Audits,Accounts Payable,General Ledger,Financial Planning,Budgeting,Accounts Receivable,Financial Reporting,General Accounting,MIS Reporting,Bank Reconciliation, Variance Analysis,Balance Sheet Accounts,P&L Accounts,Journal Entries,Cash Flow Analysis,Trial Balance expertise in maintaining company registers and statutory records of the company. Also work as a treasurer who has additional analysis responsibilities that include support of the management team and oversee the investment of funds, manage associated risks, supervise cash management activities, and execute capital-raising strategies to support the firms expansion. Prepares special financial reports by collecting, analyzing, and summarizing account information and trends.