Performed Bank Reconciliation Statements (BRS) by matching bank records with company accounts, identifying discrepancies, reconciling transactions, and ensuring accurate financial reporting and cash flow management.
Prepared and maintained Profit & Loss (P&L) statements by tracking revenues, expenses, and financial transactions to analyze business performance, support budgeting, and improve financial decision-making.
Managed accounts payable processes including invoice verification, payment processing, vendor reconciliation, expense tracking, and maintaining accurate financial records to ensure timely payments and smooth financial operations.
Prepared and analyzed balance sheets for Nexus Capital Group by organizing financial records, reviewing assets and liabilities, reconciling accounts, and ensuring accurate financial reporting to support business decision-making and financial transparency