-Oversaw company accounts, bank reconciliations and payments.
-Prepared monthly reports, account reconciliations and financial statements.
-Receive, record, and submit payment request for authorisation.
-Ensure a proper and accurate filing system is constantly maintained for all payment requisitions, journals, and other reference documents
-Record and track every financial administrative process for audit purposes.
-Perform liquidations of accounts Receivables in timely manner
-Prepare monthly reconciliations of payables & receivables accounts and submit to the supervisor for review.
-File back all sampled documents after Auditors are done reviewing among other duties.
professional qualification : 2015-2016 -certificate in Banking and Finance
2017 -Diploma in Banking and Finance
Academic qualification : 2001-2002 -Grade 9 certificate
2003-2005 -Grade 12 certificate Holy Cross Girl secondary school
REFEREES
1. Carol lishomwa
Human resource officer Zampost
+260979357726
2.Wamunyima Lutangu
Acting Branch manager cosmopolitan znbs
+260955470491
3.Rev Lubinda Manyando
St marks ucz congregation
+260972439841