Experience:
ERP - NetSuite Program Accounting
Accounts Receivable
Accounts Payables
Petty Cash
Banking Operations including Supplier Payments & Bank Reconciliation
Journal Entries
Sales, Purchase
Entries
Cash Flow Management
Warehouse Operations Control
Monthly stock taking and reporting
Visiting customers periodically for balance confirmation
Sales Department Support
Handling of Accounts staff for recording entries in system
Accruals
Credit Control Management
Assets Management
Internal Control
MIS
VAT Returns
Audit support
Additionally:
Ability to learn quickly
Hard Working
Team Player